Cash flow

Telenor group

1st half-year

Whole year

(Amount in NOK mn. )

2000

1999

1999

Net cash flow from operational activities

2 451

3 355

7 370

Net cash flow from investment activities

-9 636

-4 712

-9 205

Net cash flow from funding activities

7 357

1 061

2 916

Net cash change

172

-296

1 081

Cash 1 January

2 124

1 043

1 043

Cash at end of period

2 296

747

2 124