Consolidated Statement of Cash Flows
of the HUGO BOSS group for the period from January 1 to December 31, 2019
|
Notes |
2019 |
2018 |
|||
---|---|---|---|---|---|---|
|
|
|
||||
Net income |
|
205,243 |
236,200 |
|||
Depreciation/amortization |
362,463 |
129,680 |
||||
Unrealized net foreign exchange gain/loss |
|
(3,687) |
3,277 |
|||
Other non-cash transactions |
|
1,093 |
(76) |
|||
Income tax expense/refund |
100,350 |
100,470 |
||||
Interest income and expenses |
31,465 |
3,213 |
||||
Change in inventories |
|
3,514 |
(72,306) |
|||
Change in receivables and other assets |
|
8,666 |
(12,957) |
|||
Change in trade payables and other liabilities |
|
37,767 |
22,346 |
|||
Result from disposal of non-current assets |
|
(1,192) |
(144) |
|||
Change in provisions for pensions |
(11,838) |
(9,450) |
||||
Change in other provisions |
|
(5,218) |
(6,685) |
|||
Income taxes paid |
|
(76,909) |
(71,577) |
|||
Cash flow from operating activities |
|
651,717 |
321,991 |
|||
Investments in property, plant and equipment |
(157,633) |
(122,267) |
||||
Investments in intangible assets |
(33,680) |
(30,710) |
||||
Acquisition of subsidiaries and other business entities less cash and cash equivalents acquired |
|
0 |
(849) |
|||
Acquisition of groups of assets |
|
(3,872) |
0 |
|||
Cash receipts from sales of property, plant and equipment and intangible assets |
|
435 |
1,893 |
|||
Cash flow from investing activities |
|
(194,750) |
(151,933) |
|||
Dividends paid to equity holders of the parent company |
(186,344) |
(182,893) |
||||
Change in current financial liabilities |
(107) |
23,163 |
||||
Cash receipts from non-current financial liabilities |
0 |
24,403 |
||||
Repayment of non-current financial liabilities |
(35,000) |
(3,426) |
||||
Cash outflows of rent payments |
|
(227,394) |
0 |
|||
Interest paid |
|
(24,926) |
(2,200) |
|||
Interest received |
|
1,623 |
2,012 |
|||
Cash flow from financing activities |
|
(472,148) |
(138,941) |
|||
Exchange-rate related changes in cash and cash equivalents |
|
1,089 |
(100) |
|||
Change in cash and cash equivalents |
|
(14,092) |
31,017 |
|||
Cash and cash equivalents at the beginning of the period |
|
146,717 |
115,700 |
|||
Cash and cash equivalents at the end of the period |
132,625 |
146,717 |