Operating cash flow
After adjustment of the profit for the period for non-cash income and expenses, operating cash flow was €63,237 thousand. All changes to cash flows from net finance costs are allocated to operating activities.

Operating cash flow
Composition of cash and cash equivalents
Notes to the consolidated cash flow statement
General disclosures
Tax reconciliation
After adjustment of the profit for the period for non-cash income and expenses, operating cash flow was €63,237 thousand. All changes to cash flows from net finance costs are allocated to operating activities.