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Cash flow statement supplementary information (Tables)
12 Months Ended
Dec. 31, 2021
Cash flow statement supplementary information [Abstract]  
Cash flow statement supplementary information - Reconciliation of liabilities arising from financing activities [Text Block]

Philips Group

Reconciliation of liabilities arising from financing activities

in millions of EUR

 Balance as of Dec. 31, 2020Cash flowCurrency effects and consolidation changesOther1)Balance as of Dec. 31, 2021
Long term debt2)6,857(226)2001016,933
USD bonds1,210103 1,313
EUR bonds3,229 43,233
Bank borrowings205(1) 203
Other long-term debt1614 30
Leases1,216(239)981451,220
Forward contracts3)982  (48)934
Short term debt2)76(25)(5) 47
Short-term bank borrowings76(24)(5) 47
Other short-term loans1(1)  
Forward contracts3)     
Equity(1,181)(2,096) 1,868(1,410)
Dividend payable (484) 484 
Forward contracts3)(982)  48(934)
Treasury shares(199)(1,613) 1,336(476)
Total (2,347)   
1)Besides non-cash, other includes interest paid on leases, which is part of cash flows from operating activities2)Long-term debt includes the current portion of long-term debt, and short-term debt excludes the current portion of long-term debt.3)The forward contracts are related to the share buyback program and LTI plans

Philips Group

Reconciliation of liabilities arising from financing activities

in millions of EUR

 Balance as of Dec. 31, 2019Cash flowCurrency effects and consolidation changesOther1)Balance as of Dec. 31, 2020
Long term debt2)5,355767(180)9166,857
USD bonds1,328 (117)1,210
EUR bonds2,234991 33,229
Bank borrowings206(2)205
Other long-term debt17(1)116
Leases1,381(223)(61)1191,216
Forward contracts3)188  793982
Short term debt2)9216(32)76
Short-term bank borrowings9215(32) 76
Other short-term loans 1  1
Forward contracts3)   
Equity(390)(300) (491)(1,181)
Dividend payable (2) 2 
Forward contracts3)(188)  (793)(982)
Treasury shares(201)(298) 299(199)
Total 483   
1)Besides non-cash, other includes interest paid on finance leases, which is part of cash flows from operating activities2)In the 2019 opening balance sheet, EUR 803 million of lease liabilities were recognized due to the implementation of IFRS 16.3)The forward contracts are related to the share buyback program and LTI plans