Consolidated statement of cash flows

Free cash flow – the sum of cash flow from operating activities (€437.7 million; H1 2020: minus €2.6 million) and investing activities (minus €136.3 million; H1 2020: minus €217.0 million) – amounted to €301.5 million in the first six months of 2021 (H1 2020: minus €219.6 million).