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CONSOLIDATED CASH FLOW STATEMENT FROM 1 JANUARY 2008 TO 31 DECEMBER 2008 | ||
|
2008 |
2007 |
in EUR ’000 |
|
|
Profit for the period less minority interest |
408,533 |
312,618 |
Minority interest |
33,810 |
36,253 |
Profit for the period before minority interest |
442,343 |
348,871 |
Net change in other underwriting provisions |
1,247,502 |
2,063,411 |
Changes in underwriting receivables and payables |
-42,044 |
-66,060 |
Changes in deposit receivables and payables, |
41,491 |
42,789 |
Changes in other receivables and payables |
160,783 |
150,612 |
Changes in financial investments held for trading |
409,401 |
-151,992 |
Realised gains and losses of investments |
-460,472 |
-327,816 |
Write up/down of all other investments |
439,772 |
113,109 |
Changes in provisions for pension, severance pay, and other personnel expenses |
-71,718 |
-135,428 |
Changes in deferred tax assets/liabilities, excl. tax provisions |
-33,881 |
11,100 |
Changes in other balance sheet items |
149,720 |
-57,386 |
Changes in goodwill and intangible assets |
41,735 |
-4,977 |
Other income and expenses a!ecting cash flow, |
-235,534 |
34,744 |
Cash Flow from operating activities |
2,089,098 |
2,020,978 |
Receipts from the sale of fully consolidated companies |
602,724 |
419 |
Pay o!s from the sale of fully consolidated companies |
-1,248,562 |
-58,384 |
Cash proceeds from the sale of available for sale securities |
4,835,485 |
2,967,168 |
Payments for the acquisition of available for sale securities |
-5,412,478 |
-3,848,026 |
Cash proceeds from the sale of securities held to maturity |
40,977 |
47,555 |
Payments for the acquisition of securities held to maturity |
-155,477 |
-99,123 |
Cash proceeds from the sale of land and buildings |
48,071 |
84,668 |
Payments for the acquisition of land and buildings |
-317,253 |
-242,448 |
Changes in unit- and index-linked life insurance items |
-582,327 |
-608,243 |
Changes in other investments |
-837,760 |
-202,624 |
Cash Flow from investing activities |
-3,026,600 |
-1,959,038 |
Capital increase including premiums paid on hybrid capital |
1,343,454 |
0 |
Minority interest in capital increase |
0 |
5,952 |
Decrease/increase subordinated liabilities |
-160 |
9,463 |
Dividend payments |
-119,037 |
-101,855 |
Cash proceeds from and payments for other financing activities |
-50,566 |
23,639 |
Cash Flow from financing activities |
1,173,691 |
-62,801 |
Net change in cash and cash eqivalents |
236,189 |
-861 |
Cash and cash equivalents at beginning of period |
277,700 |
226,443 |
Cash and cash equivalents at end of period |
619,327 |
277,700 |
Including non-profit housing development corporations |
56,652 |
54,294 |
Changes in scope of consolidation |
97,437 |
49,117 |
Foreign exchange di!erences in cash and cash equivalents |
8,001 |
3,001 |
|
|
|
Additional information |
|
|
interest received |
637,917 |
621,289 |
dividends received |
198,973 |
142,619 |
interest paid |
105,759 |
121,734 |
dividends paid |
119,037 |
101,855 |
income taxes paid |
81,626 |
59,007 |
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|
|
Expected cash flow from reclassified securities |
25,984 |
|
E!ective interest rate of reclassified securities |
6.41% |
|