Cash flow statement

Cash flow statement – HHLA Group

in € thousand

 

1–6 | 2022

 

1–6 | 2021

1. Cash flow from operating activities

 

 

 

 

Earnings before interest and taxes (EBIT)

 

101,291

 

90,513

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

 

89,998

 

85,715

Increase (+), decrease (-) in provisions

 

- 5,258

 

7,221

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

 

- 125

 

90

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

 

- 43,937

 

- 28,421

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

 

29,327

 

38,518

Interest received

 

5,144

 

3,786

Interest paid

 

- 12,649

 

- 13,707

Income tax paid

 

- 34,696

 

- 33,568

Exchange rate and other effects

 

- 1,783

 

- 115

Cash flow from operating activities

 

127,312

 

150,032

 

 

 

 

 

2. Cash flow from investing activities

 

 

 

 

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

 

469

 

450

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

 

- 53,935

 

- 70,522

Payments for investments in intangible assets

 

- 5,836

 

- 5,458

Proceeds from disposal of non-current financial assets

 

0

 

125

Payments for investments in non-current financial assets

 

- 505

 

- 33

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

 

- 17,304

 

- 16,247

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

 

25,000

 

5,000

Cash flow from investing activities

 

- 52,112

 

- 86,684

 

 

 

 

 

3. Cash flow from financing activities

 

 

 

 

Payments for increases in interests in fully consolidated companies

 

- 514

 

0

Dividends paid to shareholders of the parent company

 

- 60,066

 

0

Dividends/settlement obligation paid to non-controlling interests

 

- 601

 

- 772

Redemption of lease liabilities

 

- 24,186

 

- 24,858

Proceeds from the issuance of bonds and (financial) loans

 

24,436

 

11,439

Payments for the redemption of (financial) loans

 

- 9,433

 

- 14,623

Cash flow from financing activities

 

- 70,364

 

- 28,814

 

 

 

 

 

4. Financial funds at the end of the period

 

 

 

 

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

 

4,837

 

34,534

Change in financial funds due to exchange rates

 

64

 

389

Financial funds at the beginning of the period

 

173,016

 

168,847

Financial funds at the end of the period

 

177,917

 

203,770