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1.3 Consolidated cash flow statement

in CHF thousand   Jan–Jun 21   Jan–Jun 20
Net income for the period   5,685   8,017
Change in employee equity incentive plans   8   –74
Depreciation   4,655   4,933
Impairment and amortisation     66
Share of loss applicable to equity method   261   201
Other non-fund related income and expenses   56   305
Change in trade accounts receivable   3,460   –7,007
Change in inventories   –2,518   –4,620
Change in other receivables   5,495   7,021
Change in accrued income and deferred expenses   2,584   –211
Change in trade payables   –1,672   –3,527
Change in other liabilities   –6,208   –9,192
Change in accrued expenses and deferred income   4   619
Change in provisions and deferred income tax   280   –3,173
Cash flow from operating activities   12,090   –6,642
 
Purchase of tangible assets   –7,570   –5,107
Proceeds from disposals of tangible assets   37   128
Purchase of intangible assets   –164   –475
Purchase of participations     –2,232
Proceeds from disposals of other non-current assets   20  
Cash flow from investing activities   –7,677   –7,686
 
Increase of financial liabilities   4,378  
Repayment of financial liabilities   –45  
Purchase of company's own shares     –1
Dividends paid to minorities     –2,450
Dividends paid   –5,879   –11,757
Cash flow from financing activities   –1,546   –14,208
 
Exchange differences   500   –502
 
Change in cash and cash equivalents   3,367   –29,038
 
Cash and cash equivalents at 1 January   76,998   102,738
Cash and cash equivalents at 30 June   80,365   73,700

The disclosures form an integral part of the financial report.