|
30.09.2019 |
30.09.2018 |
||
---|---|---|---|---|
Shares in affiliated companies |
2,094.5 |
2,097.1 |
||
Shares in companies consolidated at equity |
204,780.3 |
313,604.3 |
||
Available for sale investments |
– |
927.1 |
||
Other investments |
21,213.5 |
8,534.5 |
||
|
228,088.3 |
325,163.0 |
A 20.0% decrease in future cash flows would result in impairments for companies valued using the equity method in the amount of EUR 30.9 million. The recoverable amount for the respective shares exceeds the carrying amount by EUR 30.5 million.
The Cash Flow Statement includes dividends from companies consolidated at-equity in the amount of EUR 57,153.1 thousand (previous year: EUR 47,773.3 thousand).