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Feb. 10, 2012
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Consolidated Cash Flow Statement

(in € million)

2008

2009

2010

Net income

179.7

141.0

142.2

+ Depreciation and amortization

160.2

125.3

130.9

+/- Change in provisions

-5.6

-36.8

-59.4

+/- Change in taxes

-42.2

7.5

27.6

+/- Change in working capital

98.5

33.9

7.6

+/- Other

15.2

-18.2

2.4

Cash flow from operating activities

405.8

252.7

251.3

 

 

 

 

+/- Capital expenditures on and proceeds
from disposal/repayment of:

 

 

 

Intangible assets

-193.8

-24.6

-24.6

Property, plant and equipment

-88.4

-104.9

-79.8

Financial assets

--

-3.0

-68.8

Cash flow from investing activities

-282.2

-132.5

-173.2

 

 

 

 

Free cash flow

123.6

120.2

144.8

 

 

 

 

+/- Change in financial liabilities

-29.6

-26.8

-34.0

- Purchase of treasury shares

-56.4

--

-13.6

- Total dividend payment

-46.3

-45.4

-45.5

+/- Other

4.9

3.3

2.5

Cash flow from financing activities

-127.4

-68.9

-90.6

 

 

 

 

Other changes in cash and cash equivalents

6.4

-0.4

3.6

 

 

 

 

Change in cash and cash equivalents

2.6

50.9

-8.9

 

 
 
© MTU Aero Engines GmbH 2012