profit before tax
61843
172 773
adjustments to reconcile profit before tax to operating cash flows
depreciation of property plant and equipment
136881
137 567
amortisation of intangible assets
18660
24 494
loss on disposal of property plant and equipment
748
3 184
foreign exchange loss net
30803
44 156
finance costs
113754
136 651
finance income
-2355
-5 147
gain on disposal of subsidiary
−
-1 862
gain on changes in fair value of derivative financial instruments
-1613
-5 101
share of -profit/loss of assoсiates
100
-22
allowance for net realisable value of inventory
2255
-252
allowance for doubtful debts
2009
7 105
movement in provisions
-1026
-13 043
operating cash flows before working capital changes
362059
500 503
-increase/decrease in inventories
-46286
78 319
-increase/decrease in trade and other receivables
33699
-147 410
decrease in prepayments
3003
41 765
increase/-decrease in trade and other payables
-71954
20 387
decrease in advances from customers
-15967
-153 112
cash generated from operations
264554
340 452
income taxes paid
-20617
-54 147
net cash flows from operating activities
243937
286 305
purchase of property plant and equipment and intangible assets
-152781
-166 446
proceeds from sale of property plant and equipment
2760
738
acquisition of subsidiaries
−
-38 300
disposal of subsidiary
−
-1 906
issuance of loans
-77
-391
proceeds from repayment of loans issued
1059
1 175
interest received
1256
2 404
net cash flows used in investing activities
-147783
-202 122
proceeds from borrowings
941763
880 172
repayment of borrowings
-864727
-901 740
interest paid
-122957
-125 445
payment of finance lease liabilities
-3526
-2 557
contributions from non-controlling interest owners
1013
2 525
dividends paid to equity holders of the parent
-24630
-31 569
dividends paid to non-controlling interest shareholders
-31
-152
net cash flows used in financing activities
-73095
-178 766
net increase/-decrease in cash and cash equivalents
23059
-94 583
net foreign exchange difference
5751
3 114
cash and cash equivalents at january 1
93298
225 061
cash and cash equivalents at june 30
122108
133 592