Figures in CHF thousand | Notes | 2015 |
Consolidated earnings | 15,936 | |
Write-downs / write-ups on investments | 5 | 94,281 |
Of which write-downs / write-ups on equity-accounted participations | 5 | 7,672 |
Write-downs / write-ups on intangible assets | 8 | 21,193 |
Write-downs / write-ups on property, plant and equipment | 8 | 8,683 |
Write-downs / write-ups on receivables | 16,672 | |
Change in net technical provisions | 11 | 12,727 |
Change in non-technical provisions | 12 | –6,445 |
Change in provision for investment risk | 13 | –15,000 |
Loss / gain on disposal of property, plant and equipment | 402 | |
Change in deferred charges | 9 | 46,221 |
Change in deferred income taxes | –69,482 | |
Change in receivables | 10 | –59,737 |
Change in deferred credits | 9 | –18,064 |
Change in liabilities | 10 | 222,877 |
Cash flow from operating activities | 270,264 | |
Investment / divestment of investments | 6 | –106,292 |
Investment / divestment of intangible assets | 8 | –53,691 |
Investment / divestment of property, plant and equipment | 8 | –9,430 |
Cash flow from investment activities | –169,413 | |
Dividends to shareholders | –2,100 | |
Dividends to non-controlling interests | –919 | |
Change in non-controlling interest / third parties | 1,018 | |
Cash flow from financing activities | –2,001 | |
Total cash flow = change in cash and cash equivalents | 98,850 | |
Cash and cash equivalents opening amount at 1.1 | 202,038 | |
Cash and cash equivalents closing amount at 31.12 | 300,888 | |
Change in cash and cash equivalents 1 | 98,850 |
1 Cash and cash equivalents operating liquidity, liquidity with custodian bank, time deposits