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Note to cash flow statement - Changes in carrying value of net debt (Details) - EUR (€)
€ in Millions
12 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Mar. 31, 2021
Cash flows from (used in) financing activities [abstract]      
Net debt at beginning of year € (1,451.6) € (2,276.5) € (403.2)
Changes from financing cashflows      
Increase in cash and cash equivalents in year, including net foreign exchange differences 930.3 18.3 84.3
Increase/(decrease) in financial assets: cash > 3 months 122.1 468.6 (741.7)
(Decrease) in restricted cash (3.2) (11.4) (0.3)
Net cash flow from decrease/(increase) in debt 1,085.7 583.3 (1,201.5)
Movement in net funds resulting from cash flows 2,134.9 1,058.8 (1,859.2)
Other changes in net debt [abstract]      
Translation on U.S. dollar denominated debt 0.9 (4.2) 15.7
Promissory notes   (225.9)  
Lease additions (122.1)   (25.2)
Interest expense (3.3) (3.8) (4.6)
Movement from other changes (124.5) (233.9) (14.1)
Net cash/(debt) at end of year € 558.8 € (1,451.6) € (2,276.5)