• Half-year results
  • /
  • Interim consolidated financial statements of Emmi Group
  • /
  • Consolidated cash flow statement

Consolidated cash flow statement

in CHF 000s

 

First 6 months 2019

First 6 months 2018

Profit incl. minority interests

75,977

132,901

Net interest expense

2,763

2,393

Income taxes

14,472

35,755

Result from sale of fixed assets

-158

-446

Result from sale of investments/businesses

-254

Depreciation and amortisation

66,169

67,700

Impairment charges

14

109

Write-back of negative goodwill

-155

-155

Change in provisions

-10,384

-4,872

Income from associates and joint ventures

922

-76,802

Other non-cash adjustments

-1,474

-176

Cash flow before changes in net working capital, interest and taxes

147,892

156,407

 

 

 

Change in inventories

-43,124

-44,771

Change in trade receivables

39,964

46,179

Change in other receivables, prepayments and accrued income

-13,741

-5,810

Change in trade payables

-27,776

-22,297

Change in other payables, accrued liabilities and deferred income

33,012

22,098

Interest paid

-2,715

-1,823

Taxes paid

-30,326

-30,118

Cash flow from operating activities

103,186

119,865

 

 

 

Investments in property, plant and equipment

-44,116

-26,783

Proceeds from disposal of property, plant and equipment

1,627

862

Investments in intangible assets

-158

-1,940

Purchase of shares in associates and joint ventures

-739

Proceeds from sale of shares in associates

884

80,856

Acquisition of businesses/consolidated companies

-13,420

-16,177

Proceeds from sale of investments

7,108

Repayment of loans receivable

-183

257

Dividend received

203

704

Interest received

1,115

1,314

Cash flow from investing activities

-47,679

39,093

 

 

 

Change in other current financial liabilities

4,594

2,184

Change in other non-current financial liabilities

-2,503

8,011

Repayments of bonds

-100,000

Dividend paid to shareholders

-48,148

-53,498

Dividend paid to minority interests

-892

-2,214

Cash flow from financing activities

-146,949

-45,517

 

 

 

Currency translation

-2,424

4,486

Net change in cash and cash equivalents

-93,866

117,927

 

 

 

Cash and cash equivalents at beginning of period

451,399

212,605

Cash and cash equivalents at end of period

357,533

330,532