Cash flows provided by (used in) investment activities
326
(1,008)
Increase in share capital and additional paid-in capital
47
55
Purchase of treasury shares (net of disposals)
14.2
–
Interest on undated subordinated notes
11.4
(14)
(22)
Dividends paid to Danone shareholders
(c)
14.5
(431)
(1,256)
Buyout of non-controlling interests
4.5
(120)
(153)
Dividends paid to non-controlling interests
(79)
(60)
Contribution from non-controlling interests to capital increases
–
4
Transactions with non-controlling interests
(199)
(209)
Net cash flows on hedging derivatives
(d)
(8)
(7)
Bonds issued during the period
11.3, 11.4
300
−
Bonds repaid during the period
11.3, 11.4
(2,157)
(1,899)
Net cash flows from other current and non-current financial debt
11.3
27
354
Net cash flows from short-term investments
(815)
584
Cash flows provided by (used in) financing activities
(3,251)
(2,400)
Effect of exchange rate and other changes
(e)
14
(231)
Increase (decrease) in cash and cash equivalents
200
(195)
Cash and cash equivalents as of January 1
638
839
Cash and cash equivalents as of December 31
839
644
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