Presentation of the Carrefour group
Carrefour in 2015
Consolidated key figures
1.3.3
2015
2014
2013
(in € million)
Selected financial information from the consolidated income statement
Net sales
76,945
74,706
74,888
Recurring operating income before depreciation
and
amortisation *
3,955
3,803
3,707
Recurring operating income
2,445
2,387
2,238
Recurring operating income including
income from
associates and
joint ventures
2,489
2,423
2,267
EBIT
2,232
2,572
2,412 **
Net income from continuing operations
1,120
1,300
1,058
Net income from continuing operations – Group share
977
1,182
949
Net income
1,123
1,367
1,364
Net income – Group share
980
1,249
1,263
Selected financial information from the consolidated cash flow statement
Cash flow from operations
2,733
2,504
2,039
Net cash from operating activities
2,818
2,609
1,675
Net cash used in investing activities
(2,136)
(3,397)
(855)
Net cash used in financing activities
(821)
(874)
(2,489)
Net change in cash and cash equivalents
(388)
(1,643)
(1,816)
Selected financial information from the consolidated statement of financial position
Net debt
4,546
4,954
4,117
Shareholders’ equity
10,672
10,228
8,679 ***
Shareholders’ equity – Group share
9,633
9,191
7,925 ***
Recurring operating income before depreciation and amortisation (including supply chain depreciation).
*
Restated in 2014 due to the reclassification of the income from associates and joint ventures.
**
Restated in 2014 from premature application of IFRIC 21 interpretation.
***
16
2015 REGISTRATION DOCUMENT