Cash flow statement

Cash flow statement – HHLA Group

in € thousand

 

1–6 | 2020

 

1–6 | 2019

1. Cash flow from operating activities

 

 

 

 

Earnings before interest and taxes (EBIT)

 

55,464

 

114,335

Depreciation, amortisation, impairment and reversals on non-financial non-current assets

 

84,630

 

78,604

Increase (+), decrease (-) in provisions

 

1,442

 

- 1,935

Gains (-), losses (+) from the disposal of non-current assets

 

- 261

 

- 3,267

Increase (-), decrease (+) in inventories, trade receivables and other assets not attributable to investing or financing activities

 

8,897

 

- 10,557

Increase (+), decrease (-) in trade payables and other liabilities not attributable to investing or financing activities

 

27,084

 

31,878

Interest received

 

4,564

 

1,222

Interest paid

 

- 15,602

 

- 16,035

Income tax paid

 

- 6,624

 

- 19,918

Exchange rate and other effects

 

249

 

- 1,228

Cash flow from operating activities

 

159,843

 

173,099

 

 

 

 

 

2. Cash flow from investing activities

 

 

 

 

Proceeds from disposal of intangible assets, property, plant and equipment and investment property

 

4,916

 

4,447

Payments for investments in property, plant and equipment and investment property

 

- 78,159

 

- 59,590

Payments for investments in intangible assets

 

- 3,525

 

- 4,846

Payments for investments in associates accounted for using the equity method

 

- 400

 

0

Proceeds from disposal of non-current financial assets

 

10

 

0

Payments for the acquisition of interests in consolidated companies and other business units (including funds purchased)

 

- 55

 

- 2,650

Proceeds (+), payments (-) for short-term deposits

 

0

 

- 27,550

Cash flow from investing activities

 

- 77,213

 

- 90,190

 

 

 

 

 

3. Cash flow from financing activities

 

 

 

 

Dividends paid to shareholders of the parent company

 

0

 

- 61,719

Dividends/settlement obligation paid to non-controlling interests

 

- 1,027

 

- 29,661

Redemption of lease liabilities

 

- 26,144

 

- 22,068

Payments for the redemption of (financial) loans

 

- 11,247

 

- 14,164

Cash flow from financing activities

 

- 38,418

 

- 127,612

 

 

 

 

 

4. Financial funds at the end of the period

 

 

 

 

Change in financial funds (subtotals 1.–3.)

 

44,212

 

- 44,703

Change in financial funds due to exchange rates

 

- 1,180

 

787

Financial funds at the beginning of the period

 

208,022

 

253,989

Financial funds at the end of the period

 

251,054

 

210,073