Consolidated statement of cash flows

January 1–December 31

millions of CHF

Notes

2017

2016

Cash and cash equivalents as of January 1

 

429.5

1’009.0

Net income

 

87.2

60.1

Interest and securities income

12

–4.1

–5.2

Interest expenses

12

15.2

17.4

Income tax expenses

13

38.2

35.1

Depreciation, amortization, and impairments

14,15

140.9

135.2

Income from disposals of property, plant, and equipment

 

–4.4

–1.2

Changes in inventories

 

–35.7

43.0

Changes in advance payments to suppliers

 

–0.5

3.4

Changes in trade accounts receivable

 

36.4

–17.4

Changes in advance payments from customers

 

10.5

–21.5

Changes in trade accounts payable

 

12.2

49.8

Change in provision for employee benefit plans

 

–1.0

–37.9

Changes in provisions

 

–30.9

35.3

Changes in other net current assets

 

–8.6

37.2

Other non-cash items

 

–7.9

–7.1

Interest received

 

4.0

5.2

Interest paid

 

–8.0

–15.1

Income tax paid

 

–59.8

–53.1

Total cash flow from operating activities

 

183.7

263.2

Purchase of intangible assets

 

–2.6

–1.4

Purchase of property, plant, and equipment

 

–78.6

–73.5

Sale of property, plant, and equipment

 

12.8

12.2

Acquisitions of subsidiaries, net of cash acquired

4

–157.9

–309.1

Acquisitions of associates

16

–4.6

–4.3

Purchase of financial assets

17

–0.3

–1.1

Sale of financial assets

17

0.4

Sale of marketable securities

 

208.4

Total cash flow from investing activities

 

–230.8

–168.8

Dividend

 

–119.4

–617.5

Purchase of treasury shares

 

–11.8

–3.2

Dividend paid to non-controlling interests

 

–1.5

–0.5

Changes in non-controlling interests

 

–0.3

Additions in non-current borrowings

25

0.5

451.5

Repayment of non-current borrowings

25

–1.7

–2.5

Additions in current borrowings

25

534.6

216.9

Repayment of current borrowings

25

–294.1

–725.3

Total cash flow from financing activities

 

106.3

–680.6

Exchange gains on cash and cash equivalents

 

0.1

6.7

Net change in cash and cash equivalents

 

59.3

–579.5

Cash and cash equivalents as of December 31

22

488.8

429.5