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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, 2025
Mar. 31, 2024
Mar. 31, 2023
Note to cash flow statement      
Net cash/(debt) at beginning of year € 1,372.8 € 558.8 € (1,451.6)
Changes from financing cashflows      
(Decrease)/increase in cash and cash equivalents in year, including net foreign exchange differences (12.1) 276.1 930.3
(Decrease)/increase in financial assets: cash > 3 months (137.7) (818.4) 122.1
Increase/(decrease) in restricted cash 16.7 (13.1) (3.2)
Net cash flow from decrease in debt 86.4 1,143.2 1,085.7
Movement in net funds resulting from cash flows (46.7) 587.8 2,134.9
Other changes in net debt [abstract]      
Translation on U.S. dollar denominated debt 3.3 16.2 0.9
Promissory notes   213.5  
Lease modifications/additions (22.8)   (122.1)
Interest expense (2.8) (3.5) (3.3)
Movement from other changes (22.3) 226.2 (124.5)
Net cash at end of year € 1,303.8 € 1,372.8 € 558.8