Acquisitions of subsidiaries -26 167 -859 -25 308 Change in marketable securities 15 837
-3 114 18 951 Cash flow used for investing activities -10 662 -4 452 -6 210 Change in current and non-current financial debts 7 077 162 6
915 Treasury share transactions 131 276 -145 Other financing cash flow
s -4 5 -9 Cash flow from financing activities 7 204 443 6 761
Translation ...[+++] class=yellow2> effect on cash and c
ash equivalents 59 38 21 Change in cash and cash equivalents -172 -817 645 Cash and cash equivalents at July 1 5 558 3 590 1 968 Cash and cash equivalents at September 30 5 386 2 773 2 613