• 13. Property, plant and equipment
CONSOLIDATED FINANCIAL STATEMENTS OF EMMI GROUP

13. Property, plant and equipment

2020

Undeveloped land

Properties/ buildings

Machinery/ equipment

Tangible fixed assets under construction

Other tangible assets

Total

Purchase value at 1.1.2020

8,869

750,187

1,584,481

86,804

75,659

2,506,000

Change in scope of consolidation

1,452

20,137

22,532

3,271

3,894

51,286

Additions

3,001

15,900

105,422

2,429

126,752

Disposals

-3,511

-11,093

-3,624

-18,228

Reclassification

520

23,323

60,398

-90,417

5,496

-680

Currency translation differences

13

-15,411

-24,078

-9,624

-3,936

-53,036

As at 31 December 2020

10,854

777,726

1,648,140

95,456

79,918

2,612,094

 

 

 

 

 

 

 

Accumulated depreciation at 1.1.2020

1,058

354,326

1,127,010

47,109

1,529,503

Change in scope of consolidation

5,689

14,349

1,911

21,949

Depreciation

17,865

73,263

7,245

98,373

Impairment charges

1,162

9,154

13

10,329

Disposals

-3,153

-10,787

-3,398

-17,338

Reclassification

-553

-127

-680

Currency translation differences

-2,718

-10,940

-2,047

-15,705

As at 31 December 2020

1,058

373,171

1,201,496

50,706

1,626,431

Net book value at 31 December 2020

9,796

404,555

446,644

95,456

29,212

985,663

Thereof finance leases

665

2,281

2,946

2019

Undeveloped land

Properties/ buildings

Machinery/ equipment

Tangible fixed assets under construction

Other tangible assets

Total

Purchase value at 1.1.2019

10,910

712,061

1,505,012

39,730

70,260

2,337,973

Change in scope of consolidation

43,893

42,592

26,110

4,566

117,161

Additions

3,719

1,086

5,856

90,494

1,499

102,654

Disposals

-5,916

-4,072

-12,934

-6,404

-29,326

Government grants

-3,974

-4,822

-8,796

Reclassification

6,077

57,541

-69,038

5,937

517

Currency translation differences

156

-4,884

-8,764

-492

-199

-14,183

As at 31 December 2019

8,869

750,187

1,584,481

86,804

75,659

2,506,000

 

 

 

 

 

 

 

Accumulated depreciation at 1.1.2019

1,060

336,217

1,055,547

45,665

1,438,489

Change in scope of consolidation

5,932

15,400

1,055

22,387

Depreciation

16,380

72,715

6,277

95,372

Impairment charges

1,212

14

1,226

Disposals

-2,418

-12,664

-6,248

-21,330

Reclassification

16

501

517

Currency translation differences

-2

-1,785

-5,216

-155

-7,158

As at 31 December 2019

1,058

354,326

1,127,010

47,109

1,529,503

Net book value at 31 December 2019

7,811

395,861

457,471

86,804

28,550

976,497

Thereof finance leases

354

1,552

1,906