Onze publicaties Annual report 2018 Note 21 Revenue Revenue for 2018 was up by €123 million compared with 2017, at €1,920 million. Lees meer Onze publicaties Annual report 2018 Note 22 Other income Other income in 2018 came in at €148 million (2017: €43 million). The increase in the other income is mainly due to the book profit on the sale of Allego (€105 million) in 2018. Lees meer Onze publicaties Annual report 2018 Note 23 Purchase costs and costs of subcontracted work The purchase costs and costs of subcontracted work were up by €22 million compared with the preceding year and amounted to €424 million. Lees meer Onze publicaties Annual report 2018 Note 24 Employee benefit expense The staff costs relating to pensions, reorganisations and other long-term employee benefits were as follows: Lees meer Onze publicaties Annual report 2018 Note 25 Other operating expenses Other operating expenses amounted to €343 million in 2018 compared with €329 million in 2017. The rise of €14 million was mainly due to the increase in sufferance taxes (by €17 million). Lees meer Onze publicaties Annual report 2018 Note 26 Depreciation/amortisation and impairment of non-current assets The divestments include the accelerated depreciation of decommissioned assets. Lees meer Onze publicaties Annual report 2018 Note 27 Finance income The other finance income largely concerns the bond investments relating to the cross-border lease contracts [note [6]]. Lees meer Onze publicaties Annual report 2018 Note 28 Finance expense The currency translation differences result from the effect of the movements in the US dollar exchange rates against the euro on the finance lease obligations (note [19]) and the Euro Commercial Paper issued in US dollars. Lees meer Onze publicaties Annual report 2018 Note 29 Tax The recognised tax expense of €74 million is made up of tax charges of €71 million for 2018 and an adjustment of €3 million relating to prior years. Lees meer Onze publicaties Annual report 2018 Note 30 Notes to the consolidated cash flow statement The cash flow from operating activities in 2018 amounted to €638 million compared with €454 million in 2017. Lees meer Toon meer resultaten