Example 1 BASF Group - Forecast 2005
1 Operating income  2 Non-operating income  3 Total Profit  4 Assets  5 Liabilities and equity  6 Working Capital  7 Invested Capital  8 Change assets  9 Change liab./equity  10 Change Invested Capital  11 Capital addition/distribution  12 Statement of Cash Flows  13 Cash Flows  14 Performance  15 Productivity 
Change Cash and cash equivalents, Free Cash Flow Revenues = 100%
BASF GroupBASF GroupBASF GroupBASF Group
2005200520052005
9-monthForecastPension fundbuyback
R1 C.Revenues (% Mill.EUR)-17,35-6.512,0010,203.829,0010,203.829,0010,203.829,00
R2 C.Gross margin I/Revenues (% %Points)-0,99-0,32-0,99-0,32-0,99-0,32-0,99-0,32
R3 C.Employees (% Employ.)-2,38-2.000,00-2,38-2.000,00-2,38-2.000,00-2,38-2.000,00
 %Mill. EUR%Mill. EUR%Mill. EUR%Mill. EUR
01 Cash by/for(-) operating activit.16,185.020,0015,056.225,486,052.502,226,042.499,20
02 Cash by/for(-) investing activit.-5,04-1.564,00-4,82-1.992,00-4,82-1.992,00-4,82-1.992,00
03 Cash by/for(-) financing activit.-5,16-1.601,00-3,87-1.601,00-3,87-1.601,00-5,03-2.080,00
04 C.Cash and cash equiv. from Cash Flow5,981.855,006,362.632,48-2,64-1.090,78-3,80-1.572,80
05 Operating profit23,447.271,0023,449.694,5123,449.694,5123,449.694,51
06 Non operating profit0,87270,000,65270,00-8,29-3.430,00-8,29-3.430,00
07 Balance of interest-0,42-131,00-0,22-92,54-0,34-139,08-0,35-145,10
08 Taxes on income-6,26-1.941,00-7,73-3.197,48-7,67-3.174,22-7,67-3.171,20
09 Gross Cash Flow17,635.469,0016,146.674,487,132.951,227,132.948,20
10 Change Working Capital-1,45-449,00-1,09-449,00-1,09-449,00-1,09-449,00
11 Addition to goodwill0,000,000,000,000,000,000,000,00
12 Retirement of goodwill0,000,000,000,000,000,000,000,00
13 Addition to intangible assets-0,32-100,00-0,24-100,00-0,24-100,00-0,24-100,00
14 Retirement of intangible assets0,000,000,000,000,000,000,000,00
15 Capital expenditures in PPE-4,14-1.285,00-4,14-1.713,00-4,14-1.713,00-4,14-1.713,00
16 Proceeds from sale of PPE-3,32-1.030,00-2,49-1.030,00-2,49-1.030,00-2,49-1.030,00
17 Addition to financial assets0,000,000,000,000,000,000,000,00
18 Retirement of financial assets2,74851,002,06851,002,06851,002,06851,00
19 Capital addition-3,46-1.075,00-2,60-1.075,00-2,60-1.075,00-3,76-1.554,00
20 Capital distribution (dividends)-3,05-945,00-2,28-945,00-2,28-945,00-2,28-945,00
21 Free Cash Flow4,631.436,005,352.213,48-3,65-1.509,78-4,82-1.991,80
9-month according to quaterly report, schematic forecast and two variations including the pensions fund and continuing share buybacks. 2005/11/10