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42 Derivatives and Put Options

Derivatives

Dec. 31, 2021

Dec. 31, 2022

in € million

non-current

current

non-current

current

Derivatives and put options

Purchase price liabilities from put options/rights to reimbursement

264.0

270.9

Cash flow hedges

12.3

Stand-alone derivatives

53.9

Deferred interest from derivatives

2.0

1.3

66.2

266.0

272.2

Regarding derivative financial liabilities please refer to chapters [G52] Additional Financial Instrument Disclosures and [G56] Cash Flow Hedges and Stand-alone Interest Rate Swaps.