v3.25.1
CASH FLOW INFORMATION
12 Months Ended
Dec. 31, 2024
CASH FLOW INFORMATION  
CASH FLOW INFORMATION

NOTE 24 – CASH FLOW INFORMATION

Net debt is calculated as total borrowings and lease liabilities less cash and cash equivalents. Movements in net debt for the year ended 31 December 2024, 2023 and 2022 is as follows;

2024

    

Lease liabilities

    

Bank borrowings

    

Total

1 January

 

399,053

 

268,949

 

668,002

Increase in lease liabilities

 

1,013,161

 

 

1,013,161

Cash inflows

 

 

5,223,438

 

5,223,438

Cash outflows

 

(471,348)

 

(3,791,221)

 

(4,262,569)

Other non-cash movements (*)

 

212,681

 

285,392

 

498,073

Monetary gain

(160,778)

(303,872)

(464,650)

31 December

 

992,769

1,682,686

2,675,455

Less: cash and cash equivalents

 

 

 

(6,750,179)

Net debt

 

 

 

(4,074,724)

2023

    

Lease liabilities

    

Bank borrowings

    

Total

1 January

 

624,162

 

57,030

 

681,192

Increase in lease liabilities

 

359,339

 

 

359,339

Cash inflows

 

 

833,554

 

833,554

Cash outflows

 

(443,929)

 

(548,283)

 

(992,212)

Other non-cash movements(*)

 

111,201

 

14,349

 

125,550

Monetary gain

(251,720)

(87,701)

(339,421)

31 December

 

399,053

 

268,949

 

668,002

Less: cash and cash equivalents

 

  

 

(7,940,833)

Net debt

 

  

 

(7,272,831)

2022

    

Lease liabilities

    

Bank borrowings

    

Total

1 January

 

825,548

 

754,949

 

1,580,497

Increase in lease liabilities

 

508,079

 

 

508,079

Cash inflows

 

 

2,247,402

 

2,247,402

Cash outflows

 

(477,816)

 

(2,779,430)

 

(3,257,246)

Other non-cash movements(*)

 

185,336

 

55,404

 

240,740

Monetary gain

(416,985)

(221,295)

(638,280)

31 December

 

624,162

 

57,030

 

681,192

Less: cash and cash equivalents

 

  

 

(12,527,681)

Net debt

 

  

 

(11,846,489)

(*)

Other non-cash movements mainly consist of interest accruals.