Note 32 Cash flow statement


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  Group Parent company
Adjustment for items not included in cash flow 2021 2020 2021 2020
Depreciation and amortisation 478.4 273.7 0.3 0.2
Gain/loss on sale of operations and non-current assets -3.3 -3.7
Change in pension liability -1.5 -0.7
Change in other provisions and accrued items 3.6 22.5
Group contributions/ dividends not paid
Other -28.1 -11.4 12.5 -21.3
Total 449.1 280.4 12.8 -21.1

For the Group, interest received during the year totalled SEK 0.9 million (0.8), and interest paid was SEK 52.6 million (13.1).

The following adjustments were made as a result of the value of assets and liabilities in companies acquired during the year, together with adjustments such as contingent considerations paid for acquisitions made in previous years:

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  2021 2020
Non-current assets 2,185.5 310.3
Inventories 565.6 103.1
Receivables 389.4 138.6
Cash and cash equivalents 139.5 68.1
Total 3,280.0 620.1
Interest-bearing liabilities and provisions
Non-interest-bearing liabilities and provisions 1,255.4 226.8
Total 1,255.4 226.8
Consideration paid -4,917.4 -411.2
Cash and cash equivalents in acquired companies 139.5 68.1
Effect on the Group’s cash and cash equivalents 4,777.9 343.1

All businesses acquired during the year were consolidated in the accounts using the acquisition method.
Cash and cash equivalents in the cash flow statement consist of cash and bank balances.The same definition applied to determine cash and cash equivalents in the balance sheet was applied in the cash flow statement.

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Reconciliation of debts arising from financing activities  
      Changes that do not affect cash flow  
Group Opening
balance
2021-01-01
Cash flow Acquisition of subsi-
diaries
Exchange rate changes Changes in fair value Leases Closing
balance
2021-12-31
Bank overdraft facility 0.0 394.7 59.8 454.5
Liabilities to credit institutions 486.8 2,226.9 226.8 13.3 2,953.8
Other interest-bearing liabilities 85.8 6.1 245.4 2.9 9.0 349.2
Lease liability 233.3 -120.7 152.3 79.7 344.6
Total 771.5 2,507.0 684.3 16.2 9.0 79.7 4,102.1
               
Parent Company Opening
balance
2021-01-01
Cash flow Exchange rate changes Closing
balance
2021-12-31
Bank overdraft facility   0.0 451.7 451.7
Current liabilities to credit institutions   408.8 2,248.9 12.3 2,670.0
Total   408.8 2,700.6 12.3 3,121.7

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Reconciliation of debts arising from financing activities  
      Changes that do not affect cash flow  
Group Opening
balance
2020-01-01
Cash flow Acquisition of subsi-
diaries
Exchange rate changes Changes in fair value Leases Closing
balance
2020-12-31
Bank overdraft facility 463.2 -463.2 0.0
Liabilities to credit institutions 199.5 210.5 96.2 -19.4 486.8
Other interest-bearing liabilities 17.9 0.8 71.6 -5.7 1.2 85.8
Lease liability 215.7 -99.9 117.5 233.3
Total 896.3 -351.8 167.8 -25.1 1.2 117.5 805.9
               
Parent Company Opening
balance
2020-01-01
Cash flow Exchange rate changes Closing
balance
2020-12-31
Bank overdraft facility   463.2 -463.2 0.0
Current liabilities to credit institutions   196.6 233.9 -21.7 408.8
Total   659.8 -229.3 -21.7 408.8