Financial key figures

      Statement of cash flows

       

       

      2012/13

       

      2013/14

       

      2014/15

       

      2015/16

       

      2016/17

       

      2017/181

       

      2018/19

       

      2019/20

       

      2020/21

       

      2021/22

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

      Cash flow from result

       

      1,096.9

       

      1,166.0

       

      1,175.7

       

      1,168.3

       

      1,249.0

       

      1,622.0

       

      1,303.7

       

      870.1

       

      1,000.2

       

      1,842.3

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

      Changes in working capital

       

      225.0

       

      –231.4

       

      –55.8

       

      113.9

       

      –98.6

       

      –426.9

       

      –137.1

       

      433.9

       

      633.3

       

      –599.4

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

      Cash flow from operating activities

       

      1,321.9

       

      934.6

       

      1,119.9

       

      1,282.2

       

      1,150.4

       

      1,195.1

       

      1,166.6

       

      1,304.0

       

      1,633.5

       

      1,242.9

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

      Cash flow from investing activities

       

      –814.2

       

      –857.3

       

      –955.1

       

      –1,280.2

       

      –1,078.5

       

      –826.9

       

      –1,020.1

       

      –715.6

       

      –581.7

       

      –633.7

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

      Free Cash Flow

       

      507.7

       

      77.3

       

      164.8

       

      2.0

       

      71.9

       

      368.2

       

      146.5

       

      588.4

       

      1,051.8

       

      609.2

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

       

      1
      Business year 2017/18 retroactively adjusted.

       

       

      In millions of euros