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Consolidated statement of cash flows

millions of €

 

 

 

 

 

Q1 2022

Q1 2021

Change

FY 2021

Profit (loss) before income taxes

5,438

1,844

3,594

7,918

Depreciation, amortization and impairment losses

6,765

6,842

(77)

27,482

(Profit) loss from financial activities

890

1,675

(785)

5,139

(Profit) loss on the disposal of fully consolidated subsidiaries

(2,553)

0

(2,553)

(130)

(Income) loss from the sale of stakes accounted for using the equity method

0

0

0

(13)

Other non-cash transactions

82

97

(15)

226

(Gains) losses from the disposal of intangible assets and property, plant and equipment

18

5

13

161

Change in assets carried as operating working capital

(298)

678

(976)

(1,475)

Change in other operating assets

(82)

(339)

257

(1,059)

Change in provisions

(643)

(420)

(223)

(152)

Change in liabilities carried as operating working capital

535

(800)

1,335

241

Change in other operating liabilities

388

251

137

(260)

Income taxes received (paid)

(48)

(255)

207

(893)

Dividends received

2

1

1

8

Net payments from entering into, canceling or changing the terms and conditions of interest rate derivatives

0

0

0

(1)

Cash generated from operations

10,494

9,581

913

37,191

Interest paid

(1,372)

(1,488)

116

(6,158)

Interest received

236

213

23

1,138

Net cash from operating activities

9,358

8,307

1,051

32,171

Cash outflows for investments in

 

 

 

 

Intangible assets

(3,551)

(9,073)

5,522

(12,749)

Property, plant and equipment

(3,621)

(3,199)

(422)

(13,616)

Non-current financial assets

(276)

(65)

(211)

(336)

Payments for publicly funded investments in the broadband build-out

(73)

(84)

11

(436)

Proceeds from public funds for investments in the broadband build-out

44

26

18

420

Changes in cash and cash equivalents in connection with the acquisition of control of subsidiaries and associates

(51)

(23)

(28)

(1,617)

Proceeds from disposal of

 

 

 

 

Intangible assets

1

0

1

2

Property, plant and equipment

50

48

2

137

Non-current financial assets

41

62

(21)

352

Changes in cash and cash equivalents in connection with the loss of control of subsidiaries and associates

4,089

0

4,089

352

Net change in short-term investments and marketable securities and receivables

(1,165)

(65)

(1,100)

89

Other

1

0

1

0

Net cash (used in) from investing activities

(4,512)

(12,373)

7,861

(27,403)

Proceeds from issue of current financial liabilities

32

625

(593)

4,431

Repayment of current financial liabilities

(1,200)

(3,774)

2,574

(18,040)

Proceeds from issue of non-current financial liabilities

0

5,666

(5,666)

12,925

Repayment of non-current financial liabilities

0

0

0

0

Dividend payments (including to other shareholders of subsidiaries)

0

0

0

(3,145)

Principal portion of repayment of lease liabilities

(1,235)

(1,724)

489

(6,458)

Cash inflows from transactions with non-controlling entities

3

3

0

14

Cash outflows from transactions with non-controlling entities

(252)

(208)

(44)

(506)

Other

0

0

0

0

Net cash (used in) from financing activities

(2,653)

588

(3,241)

(10,779)

Effect of exchange rate changes on cash and cash equivalents

57

414

(357)

620

Changes in cash and cash equivalents associated with non-current assets and disposal groups held for sale

8

0

8

68

Net increase (decrease) in cash and cash equivalents

2,258

(3,065)

5,323

(5,323)

Cash and cash equivalents, at the beginning of the period

7,617

12,939

(5,322)

12,939

Cash and cash equivalents, at the end of the period

9,875

9,872

3

7,617