Cash Flow Statement
Cash from operations 235.5 238.7
Change in operating WC (6.0) (99.4)
Funds from Operations 229.5 139.3
Capex(net) (252.1) (243.7)
Acquisitions (net) (158.0) (225.3)
Dividends and others (14.5) (35.1)
Share Capital Increase 679.8 163.0
Net Debt Variation (484.7) 201.8