|Cash flows from operating activities||297.7||230.3||180.6|
|Cash flows from investing activities||-277.6||-218.0||-10.2|
|Cash flows from financing activities||27.6||-237.7||-66.9|
|Net increase(decrease) in cash and cash equivalents||47.7||-225.4||103.5|
|Cash and cash equivalents as at January 1||479.9||528.9||311.2|
|Net foreign exchange difference||1.3||7.6||-19.5|
|Cash and cash equivalents as at December 31||528.9||311.2||395.2|
※ Figures are based on consolidated K-IFRS.