2017

2018

2019

2020

2021

Results, in millions of euro

Net sales

19,871

20,068

19,172

16,723

20,002

Income from operations

503

613

305

602

525

Income

1,253

502

434

488

979

Amortisation, depreciation and impairments

770

766

680

663

671

Income taxes

219

168

100

138

273

Dividend

289

289

251

233

291

Cash flows, in millions of euro

Changes in working capital

( 312)

( 276)

( 88)

345

( 323)

Operational cash flow

1,864

806

927

1,063

1,060

Investment cash flow

( 1,093)

( 1,153)

( 628)

( 701)

( 1,292)

Financing cash flow

( 285)

( 141)

( 485)

( 121)

161

Financial position, in millions of euro

Shareholders’ equity

6,208

6,175

6,381

6,331

6,438

Equity of the Group

6,378

6,279

6,489

6,412

6,520

Total assets

13,756

13,211

13,078

12,535

14,722

Ratio information

Income as a percentage of shareholders’ equity

20%

8%

7%

8%

15%

Equity of the Group as a percentage of total assets

46%

48%

50%

51%

44%

Current assets in relation to short-term liabilities

1.45

1.33

1.32

1.39

1.16

Employees, at December 31

Nominal number

60,100

59,000

57,500

51,600

56,750

Amounts per share

Income

172.36

68.96

59.68

67.13

134.55

Dividend

39.75

39.75

34.50

32.00

40.00

The figures for the years 2017 - 2020 have been restated.