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Consolidated statement of cash flows

All amounts in € thousands

 

Note

2016

2015

Operating activities

   

Net result

 

64,250

32,150

Adjustments for:

   

Valuation movements

 

(29,915)

(2,290)

Result on disposal of investment property

 

(137)

183

Net finance result

 

107

(1)

Movements in working capital

 

(39)

(9,421)

Cash flow generated from operating activities

 

34,266

20,621

Interest paid

 

(107)

-

Interest received

 

-

1

Cash flow from operating activities

 

34,159

20,622

    

Investment activities

   

Proceeds from sales of investment property

 

1,839

13,337

Payments of investment property

 

(10,896)

(8,475)

Payments of investment property under construction

 

(21,033)

(52,723)

Cash flow from investment activities

 

(30,090)

(47,861)

    

Finance activities

   

Proceeds from the issue of share capital

 

55,000

65,000

Dividends paid

 

(33,384)

(29,137)

Cash flow from finance activities

 

21,616

35,863

    

Net increase/(decrease) in cash and cash equivalents

 

25,685

8,624

Cash and cash equivalents at beginning of year

 

27,626

19,002

Cash and cash equivalents at end of year

15

53,311

27,626

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