Consolidated cash flow statement
For the year ended 31 December 2023; amounts in € million
Note | 2023 | 2022 | |
Operating activities | |||
Result for the year after tax | (656) | (12) | |
Adjustments to reconcile result after tax to net cash flow from operating activities | |||
Unrealised result | 11 | 863 | 218 |
Depreciation of property, plant and equipment | 14, 17 | 2 | 2 |
Amortisation of financing costs | 10 | 4 | 3 |
Provisions | 24 | - | - |
Lease liabilities | 23 | - | - |
Interest expense | 10 | 52 | 39 |
Amortisation of income derivatives | 13 | (1) | (1) |
Result on property sales | 8 | (10) | (6) |
910 | 255 | ||
Working capital adjustments | 8 | 3 | |
Net cash flow from operating activities | 262 | 246 | |
Investing activities | |||
Capital expenditure in investment property | 15 | (63) | (59) |
Proceeds from sale of investment property | 15 | 49 | 53 |
Capital expenditure on intangible fixed assets | - | - | |
Capital expenditure on property, plant and equipment | 17 | - | - |
Capital expenditure on financial fixed assets | 18 | - | - |
Capital expenditure on participations | 18 | - | - |
Capital expenditure on investment property under construction | 16 | (239) | (137) |
Net cash flow from investing activities | (253) | (143) | |
Financing activities | |||
Loans drawn | 22 | 3,827 | 1,586 |
Financing costs | 22 | - | - |
Loan repayment | 22 | (3,525) | (1,505) |
Equity issued | 21 | 117 | - |
Equity redemption | 21 | (167) | (50) |
Distribution paid | 21 | (199) | (195) |
Interest paid | (48) | (36) | |
Settlement pre-hedge contracts | 14 | - | - |
Buy-off landlease | 23 | (20) | - |
Income tax paid | (1) | (1) | |
Net cash flow from financing activities | (16) | (200) | |
Total net cash flow | (7) | (98) | |
Net increase/decrease in cash and cash equivalents | (7) | (98) | |
Cash and cash equivalents at the beginning of the period | 20 | 11 | 109 |
Cash and cash equivalents at 31 December | 20 | 4 | 11 |