Consolidated statement of cash flows 2022
      
                  Consolidated statement of cash flows 2022
| IN EUR M | Jan 1 – | Jan 1 – | 
|---|---|---|
| 1. Net income | 16.8 | 234.5 | 
| 2. + Non-cash expenses | 72.5 | 57.3 | 
| 3 + Depreciation of | 312.4 | 235.4 | 
| 4 +/- Income taxes | 22.0 | 119.7 | 
| 5 - Income taxes paid, | -64.1 | -106.3 | 
| 6 +/- Increase/decrease | 7.2 | -0.5 | 
| 7 -/+ Other non-cash | 13.8 | -2.7 | 
| 8 +/- Decrease/increase | -260.1 | -186.3 | 
| 9 +/- Decrease/increase | -169.5 | -125.5 | 
| 10 +/- Increase/decrease | 489.9 | 391.7 | 
| 11 +/- Increase/decrease | 19.1 | -1.1 | 
| 12 = Cash flow from | 459.9 | 616.2 | 
| 13 - Cash paid for | -274.5 | -240.4 | 
| 14 - Cash paid for | -77.1 | -92.5 | 
| 15 - Cash paid for | -127.0 | 0.0 | 
| 16 +/- Cash received from | 0.0 | -3.0 | 
| 17 +/- Change in | 2.5 | 0.0 | 
| 18 = Cash flow from | -476.2 | -335.9 | 
| 19 + Cash received from | 4.4 | 22.5 | 
| 20 - Repurchase of | -136.2 | -200.0 | 
| 21 - Cash repayments of | -3.3 | -377.7 | 
| 22 - Cash payments for | -110.8 | -84.5 | 
| 23 = Cash flow from | -245.9 | -639.8 | 
| 24 = Net change in | -262.2 | -359.6 | 
| 25 +/- Exchange-rate related | -0.9 | 3.5 | 
| 26 + Cash and cash equivalents | 2,287.9 | 2,644.0 | 
| 27 = Cash and cash equivalents | 2,024.8 | 2,287.9 |