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Consolidated statement of cash flows

€ millionsNotes2016

Of which
with related parties

2015Of which
with related  parties
Gross cash flows from operating activities331,691 1,680 
Change in trade receivables/(payables), work in progress/progress payments and inventories33(229)(29)(637)72
Change in other operating assets and liabilities and provisions for risks and charges33(345)(112)5151
Interest paid (222)48(264)23
Income taxes paid (70)- (158)-
Cash flows generated from/(used in) operating activities 825 626 
Sale of Transportation segment - 790 
Investments in property, plant and equipment and intangible assets (391) (597) 
Sales of property, plant and equipment and intangible assets 31 54 
Other investing activities 231- 210-
Cash flows generated from/(used in) investing activities (129) 457 
Treasury shares purchase (35) (3) 
Bond redemption - (512) 
Net change in other loans and borrowings (237)90(20)(61)
Dividends paid (4) - 
Cash flows generated from/(used in) financing activities (276) (535) 
Net increase/(decrease) in cash and cash equivalents 420 548 
Exchange-rate differences and other changes (24) 18 
Cash and cash equivalents at 1 January 1,771 1,495 
Cash and cash equivalents at 1 January of discontinued operations - (290) 
Cash and cash equivalents at 31 December 2,167 1,771 
Cash flows from operating activities of discontinued operations - (47) 
Cash flows from investing activities of discontinued operations - (34) 
Cash flows from financing activities of discontinued operations - 48