Consolidated cash flow statement
Supplemental cash flow information
Year Ended 31 December
EUR million Note 2017 2016
Change in Net Working Capital consists of:
Change in inventories -25 -11
Change in interest-free receivables:
Current -137 56
Non-current 1 11
Change in interest-free liabilities:
Current 200 184
Non-current -2 43
Change in Net Working Capital, Net of Businesses Acquired or Sold 37 283
Cash and Cash Equivalents consist of:
Cash on hand and at banks 592 621
Cash equivalents 15 332
Cash and Cash Equivalents 607 953
Non-Cash Investing Activities
Total capital expenditure 560 638
Amounts paid -578 -707
Non-Cash Part of Additions to Intangible Assets and Property, Plant and Equipment -18 -69
Disposals
Cash Flow on Disposals
Cash part of the consideration 4 - 41
Cash and cash equivalents in divested companies 4 -7 -1
Net Cash Flow from Disposal -7 40
Non-cash part of the consideration 1 4
Total Consideration, net of Cash and Cash Equivalents in Divested Companies -6 44
Cash Received Regarding Previous year disposals 3 -
Net Assets Sold
Cash and cash equivalents 7 1
Other intangible assets and property, plant and equipment 11 3 39
Working capital 1 6
Interest-bearing assets and liabilities -1 3
Non-controlling interests 19 - -4
Total Net Asset Sold 10 45
The accompanying Notes are an integral part of these Consolidated financial statements.

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