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Parent Company - Statement of Cash Flows of Constellium N.V. (Parent Company Only) (Detail) - EUR (€)
€ in Millions
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Disclosure of condensed financial information of parent company [line items]      
Net income/ (loss) € 190 € (31) € (4)
Adjustments      
Finance cost-net 149 260 188
Income tax 32 80 69
Interest paid (129) (185) (174)
Changes in working capital      
Trade receivables and other (145) (91) 28
Trade payables and other (27) 124 (18)
Net cash flows used in investing activities (91) (292) (365)
Proceeds from issuance of Senior Notes   1,440 375
Repayment of Senior Notes   (1,559) (148)
Other (14) 10 8
Net cash flows (used in) / from financing activities (82) 61 145
Net (decrease) / increase in cash and cash equivalents (107) (71) (132)
Cash and cash equivalents-beginning of year 269 347 472
Effect of exchange rate changes on cash and cash equivalents 2 (7) 3
Cash and cash equivalents-end of year 164 269 347
Parent [member]      
Disclosure of condensed financial information of parent company [line items]      
Net income/ (loss) 87 (70) (6)
Adjustments      
Finance cost-net (80) 65 (1)
Dividend received 0 0 0
Income tax (25)    
Interest paid (102) (148) (95)
Interest received 134 149 103
Changes in working capital      
Trade receivables and other   (1)  
Other financial liabilities 0 0 0
Trade payables and other   2 (1)
Net cash flows from / (used in) operating activities 14 (3)  
Investments in subsidiaries (1) (11)  
Current account with subsidiaries and related parties (13) 180 (186)
Loans granted to subsidiary and related parties   (1,640) (375)
Repayment of loans granted to subsidiary and related parties   823 181
Exit fees received from subsidiaries   9  
Net cash flows used in investing activities (14) (639) (380)
Net proceeds received from issuance of shares   259  
Proceeds from issuance of Senior Notes   1,440 375
Payment of deferred financing costs   (29) (12)
Repayment of Senior Notes   (949)  
Payment of exit fees   (61)  
Realized foreign exchange gains / (losses)   (17) 17
Other   (1)  
Net cash flows (used in) / from financing activities   642 380
Net (decrease) / increase in cash and cash equivalents 0 0 0
Cash and cash equivalents-beginning of year 0 0 0
Effect of exchange rate changes on cash and cash equivalents 0 0 0
Cash and cash equivalents-end of year € 0 € 0 € 0