Consolidated cash flow statements

Consolidated cash flow statements

(unaudited)

 

Six months ended 30 June

(thousands of €)

2016

2015

Cash and cash equivalents at beginning of year

340,314

187,712

 

 

 

Net income / loss (–)

32,229

(34,183)

 

 

 

Adjustments for:

 

 

Tax income

(24)

(1,468)

Other net financial expense

925

68

Fair value re-measurement of Share Subscription Agreement

(57,479)

Depreciation of property, plant and equipment

1,574

1,165

Amortization of intangible fixed assets

427

638

Net realized loss on foreign exchange transactions

(294)

(309)

Share-based compensation

4,242

985

Decrease in provisions

(5)

(80)

Increase in pension liabilities

122

146

Gain on sale of fixed assets

(13)

 

 

 

Operating cash flows before movements in working capital

(18,298)

(33,038)

 

 

 

Increase (–) / decrease in inventories

3

(80)

Increase in receivables

(10,141)

(7,847)

Increase / decrease (–) in payables

(8,308)

1,175

Increase / decrease (–) in deferred income

267,037

(22,856)

 

 

 

Cash generated / used (–) in operations

230,293

(62,647)

 

 

 

Interest paid

(25)

(23)

Interest received

357

463

Income taxes paid

(443)

 

 

 

Net cash flows generated / used (–) in operating activities

230,182

(62,207)

 

 

 

Purchase of property, plant and equipment

(2,829)

(2,264)

Purchase of and expenditure in intangible fixed assets

(103)

(200)

Proceeds from disposal of property, plant and equipment

16

49

Increase (–) / decrease in restricted cash

(110)

3,000

 

 

 

Net cash flows generated / used (–) in investing activities

(3,026)

585

 

 

 

Repayment of obligations under finance leases and other debts

(27)

(20)

Proceeds from capital and share premium increases, net of issue costs

391,953

261,048

Proceeds from capital and share premium increases from exercise of warrants

2,885

10,215

 

 

 

Net cash flows generated in financing activities

394,811

271,243

 

 

 

Effect of exchange rate differences on cash and cash equivalents

(1,801)

144

 

 

 

Increase in cash and cash equivalents

620,167

209,765

 

 

 

Cash and cash equivalents at end of reporting period

960,481

397,477