Consolidated statement of cash flows All amounts in € thousands Note20182017Operating activities Net result 878,013637,610Adjustments for: Valuation movements (744,149)(513,406)Result on disposal of investment property (8,456)(10,651)Net finance result 639641Movements in working capital (3,435)9,728Cash flow generated from operating activities 122,612123,922Interest paid (639)(641)Cash flow from operating activities 121,973123,281 Investment activities Proceeds from disposal of investment property 45,80762,705Payments of investment property12(8,418)(3,086)Payments of investment property under construction13(421,802)(240,753)Cash flow from investment activities (384,413)(181,134) Finance activities Proceeds from the issue of share capital 254,000227,500Dividends paid (121,894)(108,502)Cash flow from finance activities 132,106118,998 Net increase/(decrease) in cash and cash equivalents (130,334)61,145Cash and cash equivalents at beginning of year 175,310114,165Cash and cash equivalents at end of year1544,976175,310 Share this article