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Sampo plc's statement of cash flows

Sampo plc's statement of cash flows
EURm 2015 2014
Operating activities
Profit before taxes 1,229 1,050
Adjustments:
Depreciation and amortisation 0 0
Unrealised gains and losses arising from valuation 0 1
Realised gains and losses on investments -13 -3
Other adjustments -446 -394
Adjustments total -458 -396
Change (+/-) in assets of operating activities
Investments *) -262 193
Other assets -5 -1
Total -267 192
Change (+/-) in liabilities of operating activities
Financial liabilities 2 -7
Other liabilities -5 6
Paid interests -63 -23
Paid taxes 0 -1
Total -67 -25
Net cash from operating activities 437 821
Investing activities
Investments in group and associated undertakings 533 391
Net investment in equipment and intangible assets -0 0
Net cash from investing activities 533 391
Financing activities
Dividends paid -1,079 -913
Issue of debt securities 1,011 1,199
Repayments of debt securities in issue -931 -1,012
Net cash used in financing activities -999 -725
Total cash flows -28 487
Cash and cash equivalents at 1 January 768 280
Cash and cash equivalents at 31 December 739 768
Net change in cash and cash equivalents -28 487
*) Investments include both investment property and financial assets.
Additional information to the statement of cash flows:
EURm 2015 2014
Interest income received 63 61
Interest expense paid -74 -87
Dividend income received 1,125 1,068