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Statement of cash flows

All amounts in € thousands

 

Note

2016

2015

Operating activities

   

Net result

 

20,670

11,538

Adjustments for:

   

Valuation movements

 

(11,401)

(1,929)

Result on disposal of investment property

 

-

-

Net finance result

 

15

-

Movements in working capital

 

1,570

(1,920)

Cash flow generated from operating activities

 

10,854

7,689

Interest paid

 

(15)

-

Cash flow from operating activities

 

10,839

7,689

    

Investment activities

   

Proceeds from sale of investment property

 

-

-

Payments of investment property

 

(16,728)

-

Payments of investment property under construction

 

(10,298)

(4,175)

Cash flows from investment activities

 

(27,026)

(4,175)

    

Finance activities

   

Payment of share premium

 

30,000

5,000

Repayment of share premium

 

-

(2,250)

Dividends paid

 

(9,361)

(9,550)

Cash flows from finance activities

 

20,639

(6,800)

    

Net increase/(decrease) in cash and cash equivalents

 

4,452

(3,286)

Cash and cash equivalents at beginning of year

 

933

4,219

Cash and cash equivalents at end of year

14

5,385

933

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