Profit before tax |
|
7,080 |
7,086 |
Adjustments |
|
-6,032 |
-6,683 |
Movement in loan receivables from clients |
|
-14,959 |
-15,972 |
Movement of liabilities under deposits |
|
10,522 |
9,093 |
Movement in the valuation of assets measured at fair value |
|
-837 |
-770 |
Interest income and expenses |
|
-2,574 |
-2,276 |
Realized gains/losses from investing activities and impairment losses |
|
1,823 |
1,664 |
Net foreign exchange differences |
|
123 |
-184 |
Movement in deferred acquisition expenses |
|
-28 |
-61 |
Amortization of intangible assets and depreciation of property, plant and equipment |
|
1,293 |
1,103 |
Movement in the reinsurers' share in technical provisions |
|
-344 |
-262 |
Movement in technical provisions |
|
1,490 |
1,281 |
Movement in receivables |
|
-644 |
-586 |
Movement in liabilities |
|
1,113 |
-871 |
Cash flow on investment contracts |
|
-13 |
-21 |
Acquisitions and redemptions of participation units and investment certificates of mutual funds |
|
158 |
-126 |
Income tax paid |
|
-2,084 |
-1,898 |
Other adjustments |
|
-1,071 |
3,203 |
Net cash flows from operating activities |
|
1,048 |
403 |
Cash flow from investing activities |
|
|
|
Proceeds |
|
759,573 |
909,865 |
– sale of investment property |
|
619 |
22 |
– proceeds from investment property |
|
305 |
300 |
– sale of intangible assets and property, plant and equipment |
|
87 |
51 |
– sale of ownership interests and shares |
|
3,061 |
3,590 |
– realization of debt securities |
|
157,856 |
204,645 |
– closing of buy-sell-back transactions |
|
281,450 |
460,379 |
– closing of term deposits with credit institutions |
|
289,755 |
208,469 |
– realization of other investments |
|
24,678 |
30,645 |
– interest received |
|
1,673 |
1,655 |
– dividends received |
|
55 |
66 |
– increase in cash due to purchase of entities and change in the scope of consolidation |
|
- |
4 |
– other investment proceeds |
|
34 |
39 |
Expenditures |
|
-764,426 |
-900,694 |
– purchase of investment property |
|
-198 |
-106 |
– expenditures for the maintenance of investment property |
|
-139 |
-105 |
– purchase of intangible assets and property, plant and equipment |
|
-903 |
-824 |
– purchase of ownership interests and shares |
|
-2,633 |
-3,378 |
– purchase of ownership interests and shares in subsidiaries |
|
-211 |
-29 |
– decrease in cash due to the sale of entities and change in the scope of consolidation |
|
-32 |
- |
– purchase of debt securities |
|
-165,545 |
-192,342 |
– opening of buy-sell-back transactions |
|
-282,273 |
-462,749 |
– purchase of term deposits with credit institutions |
|
-288,342 |
-209,697 |
– purchase of other investments |
|
-24,129 |
-31,436 |
– other expenditures for investments |
|
-21 |
-28 |
Net cash flows from investing activities |
|
-4,853 |
9,171 |
Cash flows from financing activities |
|
|
|
Proceeds |
|
106,012 |
202,272 |
– proceeds from the issue of shares by subsidiaries (in the part paid up by holders of non-controlling interests) |
|
- |
13 |
– proceeds from loans and borrowings |
38 |
4,300 |
4,284 |
– proceeds on the issue of own debt securities |
38 |
8,820 |
6,396 |
– opening of repurchase transactions |
38 |
92,892 |
191,579 |
Expenditures |
|
-111,499 |
-203,072 |
– dividends paid to equity holders of the parent |
40.2.1.1 |
-2,418 |
-2,159 |
– dividends to owners of non-controlling interests |
|
-1,385 |
-1,659 |
– repayment of loans and borrowings |
38 |
-3,415 |
-3,373 |
– redemption of own debt securities |
38 |
-10,845 |
-3,384 |
– closing of repurchase transactions |
38 |
-92,837 |
-192,217 |
– interest on loans and borrowings |
38 |
-75 |
-45 |
– interest on outstanding debt securities |
38 |
-227 |
-235 |
– expenditures on leases |
|
-297 |
- |
Net cash flows from financing activities |
|
-5,487 |
-800 |
Total net cash flows |
|
-9,292 |
8,774 |
Cash and cash equivalents at the beginning of the period |
|
17,055 |
8,239 |
Change in cash due to foreign exchange differences |
|
25 |
42 |
Cash and cash equivalents at the end of the period, including: |
38 |
7,788 |
17,055 |
– restricted cash |
38 |
89 |
25 |