| | 2017 | | 2016 |
Cash flow from operating activities | | | | |
Net result | 4,660 | | 2,595 | |
Adjustments for: | | | | |
Depreciations | 955 | | 526 | |
Result from participations | (1,556) | | (1,589) | |
Interest income and expenses | 96 | | 49 | |
Movements in working capital and provisions: | | | 0 | |
Movement in deferred tax assets | 1,251 | | 969 | |
Movement in receivables | 31 | | 683 | |
Movement in provisions | 303 | | 415 | |
Movement in current liabilities | 1,435 | | 3,569 | |
| | 7,175 | | 7,217 |
Interest paid | (96) | | (49) | |
Cash flow from operating activities | | 7,079 | | 7,168 |
| | | | |
Cash flow from investment activities | | | | |
Investments in tangible fixed assets | (378) | | (152) | |
Investments in intangible fixed assets | (328) | | (247) | |
Dividends received | 347 | | 380 | |
Cash flow from investment activities | | (359) | | (19) |
| | | | |
Cash flow from financing activities | | | | |
Dividends paid | - | | (2,700) | |
Cash flow from financing activities | | - | | (2,700) |
| | | | |
Net cash flow | | 6,720 | | 4,449 |
| | | | |
Cash and cash equivalents as at 1 January | | 21,203 | | 16,754 |
Increase/(decrease) in cash and cash equivalents | | 6,720 | | 4,449 |
Cash and cash equivalents as at 31 December | | 27,923 | | 21,203 |