Note Segment reporting
Note Supplemental cash flow statement
108
Adjustment for items not included in cash flow
Group Parent
2019 2018 2019 2018
Sales of non-current assets 6 2 - -
Changes in pensions and provisions 51 22 3 -
Unrealized exchange rate effects on financial instruments 75 -24 - -
Others 114 -278 - -
Total 246 -278 3 -
Cash flow from financing activities
Group Dec 31, 2018 Cash flows
Changes that do not affect cash flow
Exchange
rate effects IFRS 16 Leases
Acquisition-related Dec 31, 2019
Non-current financial assets 18 0 - 0 - 18
Current financial assets 20 -8 - 0 - 12
Non-current financial liabilities 2,913 388 73 37 675 4,086
Current financial liabilities 668 74 14 5 232 993
Total liabilities from financing activities 3,543 470 87 42 907 5,049
Parent Dec 31, 2018 Cash flows
Changes that do not affect cash flow
Exchange
rate effects IFRS 16 Leases
Acquisition-related Dec 31, 2019
Non-current financial liabilities 1,499 751 - - - 2,250
Total liabilities from financing activities 1,499 751 - - - 2,250
29
Reporting by market
2018 Europe
North and
South America Asia
Other
countries Total
External sales 13,284 10,750 3,182 376 27,592
Intangible assets and property, plant and equipment 3,304 2,864 1,249 50 7,467
Other assets 4,948 3,356 1,706 558 10,568
Total assets 8,252 6,220 2,955 608 18,035
Investments 342 267 105 7 721
28