
FIGURES IN EUROS
RENDICONTO FINANZIARIO PER I PERIODI CHIUSI AL
STATEMENT OF CASH FLOWS FOR THE PERIODS ENDED AT  December 31, 2023 December 31, 2022
A Cash flows from operating activities
Profit for the year 7,223,996 7,975,653
Adjustments for:
. Amortisation, depreciation and write-down of tangible fixed assets 1,388,619 701,843
. Amortisation, depreciation and write-down of intangible fixed assets 729,990 1,319,385
 Amortisation, depreciation and write-down of fixed assets for rights of 
734,601 671,924
. Net financial charges/(income)  (700,805)  (1,302,764) 
 Net change in other provisions
. Capital (gains) - Losses from asset disposal (11,989)  (5,378) 
 Share-based payment transactions settled with equity instruments
. Income taxes 2,994,534 3,082,398
12,626,702 12,423,903
Changes in:
(Increase)/Decrease in trade receivables (104,733)  (4,920,300) 
(Increase)/Decrease in Inventories 2,479,042 (3,036,249) 
Increase/(Decrease) in trade payables (1,912,026)  7,001,807
(Increase)/Decrease in other receivables  121,253 (14,868) 
Increase/(Decrease) in other payables  (578,014)  (741,764) 
Increase/(Decrease) in provisions and employee benefits (17,696)  (73,830) 
- Changes in Working Capital (12,174)  (1,785,204) 
Cash and cash equivalents generated by operating activities 12,614,528 10,638,699
B Interest paid (138,226)  (97,926) 
C Income tax paid  (1,436,881)  (1,569,064) 
Net cash and cash equivalents generated by operating activities 11,039,421 8,971,709
D Cash flows from investing activities
-
Net increases in property, plant and equipment (6,193,004)  (2,846,361) 
-
Net increases in intangible assets (212,163)  (328,910) 
-
Net investments in financial assets (83,624)  (20,203,051) 
-
Interest collected 845,087 1,440,897
N
et cash and cash equivalents absorbed / generated by investment 
activities
(5,643,704)  (21,937,425) 
E Cash flows from financing activities
Proceeds from the issue of shares 0 20,328
Increase/(decrease) in financial liabilities (2,310,259)  (3,832,358) 
Payment of lease liabilities (728,966)  (691,273) 
Dividends paid (4,092,601)  (4,069,193) 
Net cash generated from financing activities (7,131,826)  (8,572,496) 
F Net increase/decrease in cash and cash equivalents (1,736,109)  (21,538,211) 
Cash and cash equivalents as at January 1 19,706,887 41,245,098
G Cash and cash equivalents as at December 31 17,970,778 19,706,887
ACCOUNTING STATEMENTS
Valsoia S.p.A./Annual Financial Report at December 31, 2023