profit for the period
768
1 072
adjustments to profit for the period
depreciation and amortization
371
419
impairment losses and provision for site restoration
37
-7
loss on disposal of property plant and equipment
9
13
change in expected credit loss
10
13
change in allowance for advances issued
-1
6
change in allowance for obsolete and slow-moving items
10
-
foreign exchange loss/-income net
10
-2
operating cashflow before working capital changes
1414
1 831
movements in working capital
decrease/-increase in trade and other receivables
40
-142
decrease in value added tax recoverable
12
58
decrease in inventories
46
106
decrease in trade and other payables
-67
-95
cash generated from operations
1445
1 758
income tax paid
-230
-303
net cash from operating activities
1202
1 444
purchase of property plant and equipment
-592
-656
purchase of intangible assets
-11
-6
proceeds from sale of property plant and equipment
1
4
proceeds from sale of securities and other financial assets
2
5
purchase of securities and other financial assets
-3
-5
placement of short-term bank deposits
-
-1
withdrawal of short-term bank deposits
-
1
net cash used in investing activities
-586
-647
proceeds from borrowings
931
750
repayments of borrowings
-589
-742
repayment of the principal amount of the lease debt
-2
-1
acquisition of non-controlling interest
-
-3
dividends paid to equity holders of the parent company
-786
-499
net cash used in financing activities
-446
-495
net increase in cash and cash equivalents
170
302
cash and cash equivalents beginning of period
739
556
effect of translation to presentation currency and exchange rate changes on the
balance of cash held in foreign currencies
27
-26
cash and cash equivalents end of period
936
832