cash received from freight and hire of vessels
1460260
1 414 275
other cash receipts
28672
24 780
cash payments for voyage and running costs
-794276
-585 758
other cash payments
-127306
-101 315
cash generated from operations
567350
751 982
interest received
8203
5 943
income tax paid
-29709
-14 007
net cash inflow from operating activities
545844
743 918
expenditure on fleet
-56226
-36 596
fleet acquisitions in the period
-
-347 906
expenditure on vessels under construction
-556663
-329 904
interest capitalised
-4045
-19 139
expenditure on intangibles other property plant and equipment and
investment property
-5058
-5 248
loan repayments from joint ventures
1924
14 531
loans issued to joint ventures
-6018
-
proceeds from sale of equity accounted investments
19
-
proceeds from sale of vessels
-
28 172
proceeds from sale of other property plant and equipment
26619
324
proceeds from settlement of finance lease receivable
-
67 628
capital element received on finance leases
220
4 838
interest received on finance leases
446
12 053
dividends received from equity accounted for investments
2801
3 578
bank term deposits
14479
-15 000
restricted cash placed in court
-2864
-72 079
restricted cash placed in deposit
-3000
-
restricted cash released
-
17 190
net cash outflow used in investing activities
-587366
-677 558
proceeds from borrowings
851642
1 533 452
repayment of borrowings
-448213
-1 218 248
financing costs
-10914
-44 106
repayment of finance lease liabilities
-176817
-10 345
restricted deposits
-
846
funds in retention bank accounts
-1651
1 055
interest paid on borrowings
-173161
-125 152
interest paid on finance leases
-4917
-11 895
dividends paid
-110977
-98 184
acquisition of non-controlling interests
-
-59
net cash -outflow used in / inflow from financing activities
-75008
27 364
-decrease / increase in cash and cash equivalents
-116530
93 724
cash and cash equivalents at 1 january
432792
332 680
net foreign exchange difference
5072
6 388
cash and cash equivalents at 31 december
321334
432 792