FINANCIAL REVIEW

Consolidated Balance Sheet

(EUR Million) DEC-21 DEC-20
FIXED AND OTHER NON-CURRENT ASSETS 15,794

10,814

Consolidation goodwill 420 220
Intangible assets 126 96
Investments in infrastructure projects 11,185 6,356
Property 0 2
Plant and Equipment 348 341
Right-of-use assets 156 137
Equity-consolidated companies 1,838 1,727
Non-current financial assets 879 856
    Long term investments with associated companies 227 163
    Restricted Cash and other non-current assets 579 654
    Other receivables 73 39
Deferred taxes 549 604
Derivative financial instruments at fair value 293 475
CURRENT ASSETS 9,102 12,277
Assets classified as held for sale 1,761 3,502
Inventories 405 699
Trade & other receivables 1,317 1,367
    Trade receivable for sales and services 1,045 1,019
    Other receivables 272 348
Taxes assets on current profits 78 111
Other short term financial assets 11 0
Cash and other temporary financial investments 5,515 6,526
    Infrastructure project companies 207 148
    Restricted Cash 47 33
    Other cash and equivalents 160 115
    Other companies 5,308 6,378
Derivative financial instruments at fair value 15 72
TOTAL ASSETS 24,896 23,091

(EUR Million) DEC-21 DEC-20
EQUITY 5,839

3,790

Capital & reserves attrib to the Company´s equity holders 4,048 3,150
Minority interest 1,791 640
Deferred Income 1,402 1,282
NON-CURRENT LIABILITIES 11,078

9,584

Pension provisions 3 4
Other non current provisions 421 442
Long term lease debts 108 93
Financial borrowings 9,512

8,084

    Financial borrowings on infrastructure projects 7,362

5,192

    Financial borrowings other companies 2,150

2,892

Other borrowings 69 63
Deferred taxes 670 451
Derivative financial instruments at fair value 295 447
CURRENT LIABILITIES 6,577

8,435

Liabilities classified as held for sale 1,478

2,476

Short term lease debts 51 68
Financial borrowings 1,074

1,678

    Financial borrowings on infrastructure projects 47 48
    Financial borrowings other companies 1,027

1,630

Derivative financial instruments at fair value 110 52
Trade and other payables 2,793

3,115

    Trades and payables 1,535

1,445

    Other non commercial liabilities 1,258

1,670

Liabilities from corporate tax 69 94
Trade provisions 1.002 952
TOTAL LIABILITIES & EQUITY 24,896

23,091

GROSS CONSOLIDATED DEBT*

Gross debt
DEC-21
EX-INFRA INFRA CONSOLIDATED
Gross debt (EUR mn)

-3,248

-7,463

-10,711

% fixed 91.7% 98.6% 96.5%
% variable 8.3% 1.4% 3.5%
Average rate 1.0% 4.3% 3.3%
Average maturity (years) 3 24 18

*Includes discontinued operations

CONSOLIDATED FINANCIAL POSITION*

(EUR million) DEC-21 DEC-20
Gross financial debt -10,711 -10,085
   Gross debt ex-infrastructure -3,248 -4,640
  Gross debt infrastructure -7,463 -5,445
Gross Cash 6,260

7,544

    Gross cash ex-infrastructure 5,430

6,631

   Gross cash infrastructure 830 913
Total net financial position -4,451 -2,541
    Net cash ex-infrastructure 2,182 1,991
    Net debt infrastructure -6,633 -4,532
Total net financial position -4,451 -2,541

*Includes discontinued operations