Cash flow


Atlas Copco's consolidated statement of cash flows, including discontinued operations.

Amounts in MSEK
200620072008 20092010
Cash flows from operating activities    
Operating profit13 58112 06613 8069 09013 915
Depreciation, amortization and impairment2 1421 8002 080 2 4702 498
Capital gain/loss and other non-cash items-374-136  -81 -126
260
Operating cash surplus15 34913 73015 805 11 43416 673
Net financial items received/paid-12-37944-1 574-960
Cash flow from other items-4----
Taxes paid-3 775-3 346-3 975 -1 759-2 813
Cash flow before change in working capital11 55810 00511 874 8 10112 900
    
Change in    
   Inventories-1 870-2 332-2 8305 568-1 978
   Operating receivables-1 803-1 417-1 2233 324-2 535
   Operating liabilities1 3201 4231 062-2 1772 783
Change in working capital-2 353-2 326-2 991 6 715-1 730
Increase in rental equipment*    -769-825
Sale of rental equipment*   557480
Net cash from operating activities9 2057 6798 883 14 60410 825
    
Cash flows from investing activities    
Investments in rental equipment*-6 357-1 028-1 158
Investments in other property, plant and equipment-1 198-1 331 -1 741 -954-868
Sale of rental equipment*1 763586 419
Sale of other property, plant and equipment200126  96 7953
Investments in intangible assets-524-530-646 -657-517
Sale of intangible assets431610
Acquisition of subsidiaries-1 333-6 139-370 -196-1 710
Divestment of subsidiaries22 969-475 922519
Other investments, net-987-916 -1 086683195
Net cash from investing activities14 537-9 704-4 393 -1 014-2 818
    
Cash flows from financing activities    
Dividends paid-2 676-2 903-3 667 -3 652-3 650
Share redemption--24 416---
Repurchase of own shares-3 776-25-453 -384
Borrowings3019 8043 08574270
Repayment of borrowings-766-7 340-1 604-3 125-1 695
Payment of finance lease liabilities-309-63-67-101-49
Net cash from financing activities-7 497-14 943 -2 706 -6 804-4 740
    
Net cash flow for the period16 245-16 9681 784 6 7863 267
Cash and cash equivalents, Jan. 13 72720 1353 473 5 45512 165
Net cash flow16 245-16 968 1 784 6 7863 267
Exchange-rate difference in cash and cash equivalents163306198-76-1 168
Cash and cash equivalents, Dec. 3120 1353 473 5 455 12 16514 264

* Cash flow from increase and sale of rental equipment has been reclassified from investing to operating activities.



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Cash flow