Statement of cash flows All amounts in € thousands 2018 2017Cash flow from operating activities Net result3,175 4,660 Adjustments for: Depreciations848 955 Result from participations(1,882) (1,556) Interest income and expenses95 96 Movements in working capital and provisions: Movement in deferred tax assets776 1,251 Movement in receivables(2,686) 31 Movement in provisions185 303 Movement in current liabilities4,654 1,435 5,165 7,175Interest paid(95) (96) Cash flow from operating activities 5,070 7,079 Cash flow from investment activities Investments in tangible fixed assets(1,917) (378) Investments in intangible fixed assets(1,079) (328) Dividends received344 347 Cash flow from investment activities (2,652) (359) Cash flow from financing activities Dividends paid(4,000) - Cash flow from financing activities (4,000) - Net cash flow (1,582) 6,720 Cash and cash equivalents as at 1 January 27,923 21,203Increase/(decrease) in cash and cash equivalents (1,582) 6,720Cash and cash equivalents as at 31 December 26,341 27,923 Share this article