Consolidated statement of cash flows
Free cash flow – the sum of cash flow from operating activities (€383.5 million; H1 2022: minus €433.0 million) and investing activities (minus €154.7 million; H1 2022: minus €158.5 million) – amounted to €228.8 million in the first six months of 2023 (H1 2022: minus €591.5 million).