profit for the period
796
1 037
depreciation and amortization
396
371
impairment of non-current assets
55
148
foreign exchange loss
39
137
loss on disposal of property plant and equipment
5
4
share of profits of associates and joint ventures
-767
-481
change in fair value of derivative financial instruments
-7
-106
income tax expense
196
138
reversal of impairment of inventory
-5
-10
impairment of accounts receivable
12
12
provision for legal claims
13
-
operating profit before changes in working capital and
pension provisions
1192
1 694
decrease/-increase in inventories
181
-381
increase in trade and other receivables
-158
-79
increase/-decrease in trade and other payables and
cash flows generated from operations before income
income taxes paid
-334
-122
cash flows generated from operating activities
1235
751
proceeds from disposal of property plant and equipment
21
8
acquisition of property plant and equipment
-462
-450
acquisition of intangible assets
-16
-13
cash received from/ -paid for other investments
11
-93
dividends from associates and joint ventures
11
4
dividends from financial assets
1
3
proceeds from disposal of subsidiary
14
-
acquisition of a subsidiary
-25
-
change in restricted cash
-
-3
cash flows used in investing activities
-412
-531
proceeds from borrowings
1791
3 604
repayment of borrowings
-1882
-3 426
restructuring fees and other payments related to issuance
-9
-19
acquisition of non-controlling interests
-5
-105
consolidated interim condensed statement of cash flows for the six months ended 30 june 2019 -continued
six months ended 30 june
2019
2 018
note
usd million
usd million
settlement of derivative financial instruments
-9
96
dividends to shareholders
-
-68
cash flows used in financing activities
-586
-355
net change in cash and cash equivalents
237
-135
cash and cash equivalents at beginning of period
excluding restricted cash
1140
957
effect of exchange rate fluctuations on cash and cash
cash and cash equivalents at end of the period
excluding restricted cash
1436
808