Consolidated statement of cash flows
All amounts in € thousands
Note | 2023 | 2022 | |
Operating activities | |||
Net result | (476,739) | 37,144 | |
Adjustments for: | |||
Valuation movements | 636,028 | 105,662 | |
Result on disposal of investment property | 11,734 | 3,443 | |
Net finance result | 396 | 4,016 | |
Movements in working capital | 7,057 | 3,832 | |
Cash flow generated from operating activities | 178,476 | 154,097 | |
Interest paid | (1,254) | (1,511) | |
Interest received | 3,330 | - | |
Cash flow from operating activities | 180,552 | 152,586 | |
Investment activities | |||
Proceeds from disposal of investment property | 169,342 | 180,449 | |
Payments of investment property | (22,652) | (15,936) | |
Payments of investment property under construction | (99,860) | (256,118) | |
Cash flow from investment activities | 46,830 | (91,605) | |
Finance activities | |||
Proceeds from the issue of share capital | 90,000 | 251,700 | |
Redemptions | (142,045) | (209,035) | |
Dividends paid | (169,969) | (148,221) | |
Cash flow from finance activities | (222,014) | (105,556) | |
Net increase/(decrease) in cash and cash equivalents | 5,368 | (44,575) | |
Cash and cash equivalents at beginning of year | 47,439 | 92,014 | |
Cash and cash equivalents at end of year | 15 | 52,808 | 47,439 |