Statement of cash flows All amounts in € thousands Note20152014Operating activities Rental receipts 46,40540,392Service charge receipts 9,3089,237Operating payments (22,831)(10,094)Service charge payments (11,404)(8,702)VAT received (paid) 160164Interest received 121Cash flows from operating activities 21,63931,018 Investment activities Proceeds from sale of investment property 70,531-Payments of investment property12(8,103)(131,400)Payments of investment property under construction13(1,479)(3,749)Cash flows from investment activities 60,949(135,149) Finance activities Proceeds from the issue of share capital 10,000144,000Repayment of share premium -(22,000)Dividends paid (24,424)(26,700)Cash flows from finance activities (14,424)95,300 Net increase/ (decrease) in cash and cash equivalents 68,164(8,831)Cash and cash equivalents at beginning of year 18,60427,435Cash and cash equivalents at end of year1586,76818,604 Share this article