23 Annual Report 2019 Cash flow statement in CHF m 2019 2018 Profit for the year 210 133 Net change in technical provisions 4 266 4 256 Net change in deferred aquisition costs 72 31 Change in deposits retained and accounts receivable and payable 4 163 4 329 Change in other receivables and liabilities 318 196 Gains and losses on the disposal of investments 15 14 Change in derivative from reinsurance business 505 247 Change in other balance sheet items 4 9 Other income expenses without impact on cash flow 255 239 I Cash flows from operating activities 320 284 Change in affiliated companies and participating interests 47 147 Change from acquisition sale and maturities of other investments 68 17 Other 0 0 II Cash flows from investing activities 21 164 Inflows from increases in capital 0 0 Outflows from share buy backs 0 0 Dividend payments 133 128 III Cash flows from financing activities 133 128 Cash flows for the financial year I II III 166 320 Cash at the beginning of the financial year 536 216 Cash at the end of the financial year 702 536 Change in cash for the financial year 166 320 NewRe AnnualReport 2019 Korrekt indd 23 27 04 20 09 43

Vorschau Newre Annual Report 2019 Seite 25
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