Cash flow statement

in € million¹
2019
2018
in € million¹
1. Operating activities
in € million¹
EBITDA
2019
2,245.2
2018
2,089.6
in € million¹
Changes in provisions
2019
-416.0
2018
-394.6
in € million¹
Result from disposals of assets
2019
-18.5
2018
-88.4
in € million¹
Other non-cash-relevant expenses/income
2019
64.8
2018
-27.6
in € million¹
Change in assets and liabilities from operating activities
2019
-759.4
2018
-480.7
in € million¹
Inventories
2019
(-160.4)
2018
(-201.7)
in € million¹
Net balance of trade receivables and payables
2019
(-517.8)
2018
(49.6)
in € million¹
Net balance of other assets and liabilities
2019
(-81.2)
2018
(-328.6)
in € million¹
Income tax paid
2019
-409.1
2018
-270.7
in € million¹
Cash flow from operating activities
2019
707.0
2018
827.6
in € million¹
2. Investing activities
in € million¹
Capital expenditure on intangible assets and property, plant and equipment
2019
-1,947.8
2018
-1,369.5
in € million¹
Disposals of intangible assets and property, plant and equipment
2019
50.1
2018
77.3
in € million¹
Cash received from subsidies for construction cost and investments
2019
90.4
2018
86.1
in € million¹
Acquisition of subsidiaries, entities accounted for using the equity method and interests in joint operations
2019
-1,135.1
2018
-297.6
in € million¹
Sale of subsidiaries, entities accounted for using the equity method and interests in joint operations
2019
68.3
2018
297.9
in € million¹
Cash paid for investments in other financial assets
2019
-722.6
2018
-750.4
in € million¹
Cash received from the sale of other financial assets
2019
1,014.0
2018
765.3
in € million¹
Cash received/paid for investments in connection with short-term finance planning
2019
-20.9
2018
10.5
in € million¹
Interest received
2019
111.6
2018
94.4
in € million¹
Dividends received
2019
174.9
2018
190.2
in € million¹
Cash flow from investing activities
2019
-2,317.1
2018
-895.8
in € million¹
3. Financing activities
in € million¹
Interest paid for financing activities
2019
-214.9
2018
-247.0
in € million¹
Dividends paid
2019
-316.5
2018
-312.8
in € million¹
Cash received for changes in ownership interest without loss of control
2019
23.4
2018
4.6
in € million¹
Cash paid for changes in ownership interest without loss of control
2019
-0.8
2018
0.0
in € million¹
Increase in financial liabilities
2019
3,148.6
2018
1,125.1
in € million¹
Repayment of financial liabilities
2019
-2,038.7
2018
-1,425.4
in € million¹
Repayment of lease liabilities
2019
-108.3
2018
-
in € million¹
Payments from alterations of capital in non-controlling interests
2019
59.1
2018
-51.8
in € million¹
Cash flow from financing activities
2019
551.9
2018
-907.3
in € million¹
Net change in cash and cash equivalents
2019
-1,058.2
2018
-975.5
in € million¹
Change in cash and cash equivalents due to changes in the consolidated companies
2019
169.3
2018
6.6
in € million¹
Net foreign exchange difference
2019
3.1
2018
5.5
in € million¹
Change in cash and cash equivalents due to risk provisions
2019
0.2
2018
0.2
in € million¹
Change in cash and cash equivalents
2019
-885.6
2018
-963.2
in € million¹
Cash and cash equivalents at the beginning of the period
2019
2,249.4
2018
3,212.6
in € million¹
Cash and cash equivalents at the end of the period
2019
1,363.8
2018
2,249.4

1 Further information is available in the notes under (32) “Notes to the cash flow statement”. We publish the full set of consolidated financial statements at www.enbw.com/report2019-downloads.

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