Consolidated statement of cash flows
All amounts in € thousands
| Note | 2016 | 2015 |
Operating activities | | | |
Net result | | 30,506 | 4,034 |
Adjustments for: | | | |
Valuation movements | | (11,631) | 20,134 |
Result on disposal of investment property | | - | (535) |
Net finance result | | 68 | (1) |
Movements in working capital | | (5,756) | (1,487) |
Cash flow generated from operating activities | | 13,187 | 22,145 |
Interest paid | | (68) | - |
Interest received | | - | 1 |
Cash flow from operating activities | | 13,119 | 22,146 |
| | | |
Investment activities | | | |
Proceeds from sale of investment property | | - | 70,024 |
Payments of investment property | 12 | (10,723) | (8,103) |
Payments of investment property under construction | 13 | (2,400) | (1,479) |
Cash flow from investment activities | | (13,123) | 60,442 |
| | | |
Finance activities | | | |
Proceeds from the issue of share capital | | 10,000 | 10,000 |
Redemption of shares | | (50,000) | - |
Dividends paid | | (19,241) | (24,424) |
Cash flow from finance activities | | (59,241) | (14,424) |
| | | |
Net increase/(decrease) in cash and cash equivalents | | (59,245) | 68,164 |
Cash and cash equivalents at beginning of year | | 86,768 | 18,604 |
Cash and cash equivalents at end of year | 15 | 27,523 | 86,768 |