Consolidated Statement of Cash Flows

of the HUGO BOSS group for the period from January 1 to December 31, 2019

Consolidated statement of cash flows (in EUR thousand)

 

 

Notes

 

2019

 

2018

 

 

(25)

 

 

 

 

Net income

 

 

 

205,243

 

236,200

Depreciation/amortization

 

(8)

 

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

 

(5)

 

100,350

 

100,470

Interest income and expenses

 

(4)

 

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

 

(19)

 

(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

 

(8)

 

(157,633)

 

(122,267)

Investments in intangible assets

 

(8)

 

(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

 

(16)

 

(186,344)

 

(182,893)

Change in current financial liabilities

 

(22)

 

(107)

 

23,163

Cash receipts from non-current financial liabilities

 

(22)

 

0

 

24,403

Repayment of non-current financial liabilities

 

(22)

 

(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

 

(14)

 

132,625

 

146,717