Consolidated cash flow statements
(unaudited)
|
Six months ended 30 June |
|
---|---|---|
(thousands of €) |
2021 |
2020 |
Net loss of the period |
(54,968) |
(165,643) |
|
|
|
Adjustment for non-cash transactions |
50,310 |
87,724 |
Adjustment for items to disclose separately under operating cash flow |
2,518 |
(1,810) |
Adjustment for items to disclose under investing and financing cash flows |
(28,843) |
(2,363) |
Change in working capital other than deferred income |
81,359 |
55,299 |
Decrease in deferred income |
(248,610) |
(185,537) |
|
|
|
Cash used in operations |
(198,234) |
(212,329) |
|
|
|
Interest paid |
(5,862) |
(1,406) |
Interest received |
1,237 |
5,182 |
Corporate taxes paid |
(272) |
(1,276) |
|
|
|
Net cash flows used in operating activities |
(203,131) |
(209,829) |
|
|
|
Purchase of property, plant and equipment |
(19,414) |
(9,207) |
Purchase of and expenditure in intangible fixed assets |
(647) |
(15,673) |
Proceeds from disposal of property, plant and equipment |
- |
4 |
Purchase of current financial investments |
(703,841) |
(2,968,597) |
Interest received related to current financial investments |
8 |
3,296 |
Sale of current financial investments |
1,373,206 |
3,699,036 |
Cash in from disposal of subsidiaries, net of cash disposed of |
28,696 |
- |
Acquisition of financial assets |
- |
(2,681) |
Proceeds from sale of financial assets held at fair value through profit or loss |
4,045 |
6,626 |
|
|
|
Net cash flows generated from investing activities |
682,053 |
712,804 |
|
|
|
Payment of lease liabilities |
(4,057) |
(3,023) |
Proceeds from capital and share premium increases from exercise of subscription rights |
2,583 |
23,268 |
|
|
|
Net cash flows generated from/used in (-) financing activities |
(1,474) |
20,246 |
|
|
|
Increase in cash and cash equivalents |
477,448 |
523,222 |
|
|
|
Cash and cash equivalents at beginning of the period |
2,143,071 |
1,861,616 |
|
|
|
Increase in cash and cash equivalents |
477,448 |
523,222 |
|
|
|
Effect of exchange rate differences on cash and cash equivalents |
22,121 |
(617) |
|
|
|
Cash and cash equivalents at end of the period |
2,642,639 |
2,384,220 |
The accompanying notes form an integral part of these condensed consolidated financial statements.
|
30 June |
|
---|---|---|
(thousands of €) |
2021 |
2020 |
Current financial investments |
2,363,969 |
3,182,276 |
Cash and cash equivalents |
2,642,639 |
2,384,220 |
Current financial investments and cash and cash equivalents |
5,006,608 |
5,566,496 |
The accompanying notes form an integral part of these condensed consolidated financial statements.