Consolidated cash flow statements

Unaudited condensed consolidated interim financial statements
CSR report

(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.