Oil & Gas Market Recovery and Performance Update slide image

Oil & Gas Market Recovery and Performance Update

Cash flow EUR million Net profit for the period Total adjustments Q1 2021 Q1 2020 2020 41 40 138 65 69 298 Change in net working capital -52 -31 -3 Finance expenses -14 -9 -22 Income taxes paid -26 -18 -37 Net cash generated from operating activities 14 50 375 Purchases of subsidiaries and business acquisitions, net of 0 -3 -3 cash acquired and capital expenditure in associated company Capital expenditure Proceeds from sale of assets Change in long-term loan receivables Cash flow after investing activities Kemira APRIL 27, 2021 INVESTOR PRESENTATION -27 -36 -196 0 0 2 0 0 -6 -13 12 173 71
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