37. Consolidated statement of cash flows

The following tables show the changes in the liabilities arising from financing activities:

Reconciliation of liabilities arising from financing activities 2025

 

 

 

Non-cash changes

 

in € million

Jan. 1, 2025

Cash flows

Foreign exchange movement

Other changes

Dec. 31, 2025

Non-current financial liabilities

1,002.0

–16.6

–1.0

–80.6

903.8

Current financial liabilities

698.3

–620.8

–6.3

84.0

155.1

Liabilities from accrued interest

11.2

–63.7

–1.9

63.7

9.3

Derivative financial instruments for hedging purposes

0.3

0.2

–0.5

Liabilities from procurement leases

770.1

–217.6

–11.5

223.1

764.1

Total liabilities from financing activities

2,481.9

–918.5

–20.6

289.7

1,832.4

Reconciliation of liabilities arising from financing activities 2024

 

 

 

Non-cash changes

 

in € million

Jan. 1, 2024

Cash flows

Foreign exchange movement

Other changes

Dec. 31, 2024

Non-current financial liabilities

1,306.6

369.5

0.6

–674.7

1,002.0

Current financial liabilities

215.8

–198.7

–1.6

682.7

698.3

Liabilities from accrued interest

11.7

–69.0

0.2

68.4

11.2

Derivative financial instruments for hedging purposes

1.9

–0.0

–1.6

0.3

Liabilities from procurement leases

639.0

–175.0

5.7

300.4

770.1

Total liabilities from financing activities

2,175.0

–73.2

5.0

375.2

2,481.9

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