Net cash received for sale of products and services |
18,117 |
16,724 |
Cash flow received from financial investments |
26 |
22 |
Cash received for sales of assets |
0 |
0 |
Total value-added cash flow |
18,143 |
16,747 |
Distribution of value-added cash flow |
|
|
Employee wages |
2,932 |
2,698 |
Tax payments |
707 |
896 |
Financial debt return |
-6 |
1 |
Dividends paid out to shareholders |
1,510 |
1,378 |
Investment in social programmes |
26 |
23 |
Cash withheld for future growth |
-129 |
51 |
Payments made outside the Group for the purchase goods, raw materials and services |
11,254 |
10,302 |
Payments for investments in new productive assets |
1,849 |
1,398 |