Cash Flow Statement For Group and Segments
Cash Flow Statement For Group and Segments
Cash Flow Statement For Group and Segments
C A S H F LO W S TAT E M E N T F O R G R O U P
AND SEGMENTS
Automotive Financial Services
Group (unaudited supplementary information) (unaudited supplementary information)
C A S H F LO W S TAT E M E N T F O R G R O U P
AND SEGMENTS
Automotive Financial Services
Group (unaudited supplementary information) (unaudited supplementary information)
Effect of exchange rate on cash and cash equivalents – 307 180 – 143 130 – 96 110
Change in cash and cash equivalents 2,472 1,501 2,487 445 608 788
Cash and cash equivalents as at 1 January 13,537 12,036 9,522 9,077 2,863 2,075
Cash and cash equivalents as at 31 December 16,009 13,537 12,009 9,522 3,471 2,863
1
W ith the exception of interest for lease liabilities, interest relating to financial services business is classified as revenues / cost of sales.
2
Includes dividends received from investment assets amounting to € – million (2020: € 1.020 million).