Consolidated Statement of Cash Flows Contents Overview Report of the Executive Board Report of the Supervisory Board Financial statements Other information Note 2014 2013 For the year ended 31 December In millions of EUR Operating activities Profit 1,708 1,587 Adjustments for: Amortisation, depreciation and impairments 11 1,437 1,581 Net interest expenses 12 409 532 Gain on sale of property, plant and equipment, intangible assets and subsidiaries, joint ventures and associates 8 (93) (226) Investment income and share of profit and impairments of associates and joint ventures and dividend income on available-for-sale and held-for-trading investments (158) (160) Income tax expenses 13 732 520 Other non-cash items 244 156 Cash flow from operations before changes in working capital and provisions 4,279 3,990 Change in inventories (104) (42) Change in trade and other receivables (325) 5 Change in trade and other payables 456 88 Total change in working capital 27 51 Change in provisions and employee benefits (166) (58) Cash flow from operations 4,140 3,983 Interest paid (522) (557) Interest received 60 56 Dividends received 125 148 Income taxes paid (745) (716) Cash flow related to interest, dividend and income tax (1,082) (1,069) Cash flow from operating activities 3,058 2,914 Investing activities Proceeds from sale of property, plant and equipment and intangible assets 144 152 Purchase of property, plant and equipment 14 (1,494) (1,369) Purchase of intangible assets 15 (57) (77) Loans issued to customers and other investments (117) (143) Repayment on loans to customers 40 41 Cash flow (used in)/from operational investing activities (1,484) (1,396) Free operating cash flow 1,574 1,518 Acquisition of subsidiaries, net of cash acquired 6 (159) (17) Acquisition of/additions to associates, joint ventures and other investments (7) (53) Disposal of subsidiaries, net of cash disposed of 6/7 (27) 460 Disposal of associates, joint ventures and other investments 4 165 Cash flow (used in)/from acquisitions and disposals (189) 555 Cash flow (used in)/from investing activities (1,673) (841) 61 Heineken N.V. Annual Report 2014

Jaarverslagen en Personeelsbladen Heineken

Jaarverslagen | 2014 | | pagina 63