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54. Notes to the consolidated cash flow statement

PZU AR 2021 > Results > Supplementary information and notes > 54. Notes to the consolidated cash flow statement
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Movement in liabilities attributable to financial activities in the period ended 31 December 2021 Beginning of the period Changes resulting from cash flows Interest accruals and payments as well as settlements of discount and premium Foreign exchange differences Other changes End of the period
Loans received 6 439 -1 779 1 -10 7 4 658
Liabilities on the issue of debt securities 7 532 -1 610 6 10 2 5 940
   Bonds 4 597 -457 1 11 2 4 154
   Certificates of deposit 1 611 -918 6 - -4 695
   Covered bonds 1 324 -235 -1 -1 4 1 091
Subordinated liabilities 6 679 -500 95 - - 6 274
Liabilities on account of repurchase transactions 1 154 54 2 - -3 1 207
Lease liabilities 1 064 -292 22 - 198 992
Total 22 868 -4 127 126 - 204 19 071

Movement in liabilities attributable to financial activities in the period ended 31 December 2020 Beginning of the period Changes resulting from cash flows Interest accruals and payments as well as settlements of discount and premium Foreign exchange differences Other changes End of the period
Loans received 5 427 716 - 296 - 6 439
Liabilities on the issue of debt securities 9 273 -1 816 67 19 -11 7 532
   Bonds 3 976 583 40 -1 -1 4 597
   Certificates of deposit 3 940 -2 355 27 1 -2 1 611
   Covered bonds 1 357 -44 - 19 -8 1 324
Subordinated liabilities 6 700 -162 138 3 - 6 679
Liabilities on account of repurchase transactions 599 556 5 - -6 1 154
Lease liabilities 1 066 -275 37 - 236 1 064
Total 23 065 -981 247 318 219 22 868

The table below presents an explanation of the differences between movements in line items of the statement of financial position and movements in these items disclosed in the operating activity part of the cash flow statement.

Item in the consolidated cash flow statement Movement arising from balance sheet changes 1) Movement arising from business combinations Total
Movement in loan receivables from clients -19 637 12 061 -7 576
Movement in liabilities under deposits 22 972 -13 701 9 271
Movement in receivables -612 228 -384
Movement in liabilities 1 471 -344 1 073

1) Including changes arising from movement in allowances for expected credit losses, impairment losses and foreign exchange differences.