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Financial statements

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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