103
Note Supplemental cash flow statement
Adjustment for items not included in cash flow
Group Parent
2018 2017 2018 2017
Sales of non-current assets 2 0 - -
Changes in pensions and provisions 22 -42 - -
Unrealized exchange rate effects on financial instruments -24 -93 - -
Others -278 -128 - -
Total -278 -263 - -
Cash flow from financing activities
Group Dec 31, 2017 Cash flows
Changes that do not affect cash flow
Acquisition-related Exchange rate effects Dec 31, 2018
Non-current financial assets 26 -8 - -0 18
Current financial assets 6 14 - -0 20
Non-current financial liabilities 2,654 196 -59 122 2,913
Current financial liabilities 633 99 - -64 668
Total liabilities from financing activities 3,255 289 -59 58 3,543
Parent Dec 31, 2017 Cash flows
Changes that do not affect cash flow
Acquisition-related Exchange rate effects Dec 31, 2018
Non-current financial liabilities - 1,499 - - 1,499
Current financial liabilities 1,440 -1,440 - - -
Total liabilities from financing activities 1,440 59 - - 1,499
29