Cash Flow Statement

 

 Consolidated Cash Flow               2013  2012  2011  2010 

Cash flow from operating activities

53.684

9.306

80.777

19.936

Cash flow from/(for) investments

(34.402)

(27.811)

986

(55.232)

Cash flow of assets held for sale

250

499

(2.141)

(70)

Cash flow from/(for) financing activities

(5.598)

3.427

(32.171)

(6.212)

 

 

 

 

 

Cash and cash equivalents at the beginning of the year

113.188

127.767

80.316

121.894

Cash and cash equivalents at the end of the year

127.122

113.188

127.767

80.316