Below, you are given facts from the annual report for "REN - REDES ENERGÉTICAS NACIONAIS, SGPS, S.A." at the end of 2022. "Property Plant And Equipment" 2023-01-01: 127816000 EUR "Property Plant And Equipment" 2022-01-01: 119551000 EUR "Intangible Assets Other Than Goodwill" 2023-01-01: 4077471000 EUR "Intangible Assets Other Than Goodwill" 2022-01-01: 4123069000 EUR "Goodwill" 2023-01-01: 4515000 EUR "Goodwill" 2022-01-01: 4757000 EUR "Investment Accounted For Using Equity Method" 2023-01-01: 180770000 EUR "Investment Accounted For Using Equity Method" 2022-01-01: 169283000 EUR "Noncurrent Investments In Equity Instruments Designated At Fair Value Through Other Comprehensive Income" 2023-01-01: 145715000 EUR "Noncurrent Investments In Equity Instruments Designated At Fair Value Through Other Comprehensive Income" 2022-01-01: 162724000 EUR "Noncurrent Derivative Financial Assets" 2023-01-01: 80564000 EUR "Noncurrent Derivative Financial Assets" 2022-01-01: 19347000 EUR "Other Noncurrent Financial Assets" 2023-01-01: 179000 EUR "Other Noncurrent Financial Assets" 2022-01-01: 137000 EUR "Trade And Other Non Current Receivables" 2023-01-01: 55666000 EUR "Trade And Other Non Current Receivables" 2022-01-01: 37026000 EUR "Deferred Tax Assets" 2023-01-01: 69803000 EUR "Deferred Tax Assets" 2022-01-01: 96673000 EUR "Noncurrent Assets" 2023-01-01: 4742499000 EUR "Noncurrent Assets" 2022-01-01: 4732567000 EUR "Inventories Total" 2023-01-01: 5134000 EUR "Inventories Total" 2022-01-01: 8545000 EUR "Trade And Other Receivables Current" 2023-01-01: 327764000 EUR "Trade And Other Receivables Current" 2022-01-01: 448171000 EUR "Current Tax Assets" 2023-01-01: 10671000 EUR "Current Tax Assets" 2022-01-01: 0 EUR "Current Derivative Financial Assets" 2023-01-01: 236000 EUR "Current Derivative Financial Assets" 2022-01-01: 474000 EUR "Asset Related To The Transitional Gas Price Stabilization Regime Decree Law84D2022" 2023-01-01: 1000000000 EUR "Asset Related To The Transitional Gas Price Stabilization Regime Decree Law84D2022" 2022-01-01: 0 EUR "Cash And Cash Equivalents" 2023-01-01: 365292000 EUR "Cash And Cash Equivalents" 2022-01-01: 398759000 EUR "Current Assets" 2023-01-01: 1709097000 EUR "Current Assets" 2022-01-01: 855949000 EUR "Assets" 2023-01-01: 6451596000 EUR "Assets" 2022-01-01: 5588516000 EUR "Issued Capital" 2023-01-01: 667191000 EUR "Issued Capital" 2022-01-01: 667191000 EUR "Treasury Shares" 2023-01-01: 10728000 EUR "Treasury Shares" 2022-01-01: 10728000 EUR "Share Premium" 2023-01-01: 116809000 EUR "Share Premium" 2022-01-01: 116809000 EUR "Capital Reserve" 2023-01-01: 396065000 EUR "Capital Reserve" 2022-01-01: 311988000 EUR "Retained Earnings Excluding Profit Loss For Reporting Period" 2023-01-01: 241987000 EUR "Retained Earnings Excluding Profit Loss For Reporting Period" 2022-01-01: 232978000 EUR "Other Changes In Equity" 2023-01-01: -5561000 EUR "Other Changes In Equity" 2022-01-01: -5561000 EUR "Retained Earnings Profit Loss For Reporting Period" 2023-01-01: 111771000 EUR "Retained Earnings Profit Loss For Reporting Period" 2022-01-01: 97153000 EUR "Equity" 2023-01-01: 1517534000 EUR "Equity" 2022-01-01: 1409830000 EUR "Longterm Borrowings" 2023-01-01: 1695362000 EUR "Longterm Borrowings" 2022-01-01: 2390852000 EUR "Noncurrent Provisions For Employee Benefits" 2023-01-01: 64939000 EUR "Noncurrent Provisions For Employee Benefits" 2022-01-01: 94109000 EUR "Noncurrent Derivative Financial Liabilities" 2023-01-01: 73464000 EUR "Noncurrent Derivative Financial Liabilities" 2022-01-01: 23112000 EUR "Other Longterm Provisions" 2023-01-01: 10576000 EUR "Other Longterm Provisions" 2022-01-01: 8872000 EUR "Trade And Other Non Current Payables" 2023-01-01: 450297000 EUR "Trade And Other Non Current Payables" 2022-01-01: 507606000 EUR "Deferred Tax Liabilities" 2023-01-01: 115064000 EUR "Deferred Tax Liabilities" 2022-01-01: 107569000 EUR "Noncurrent Liabilities" 2023-01-01: 2409702000 EUR "Noncurrent Liabilities" 2022-01-01: 3132120000 EUR "Current Borrowings And Current Portion Of Noncurrent Borrowings" 2023-01-01: 638944000 EUR "Current Borrowings And Current Portion Of Noncurrent Borrowings" 2022-01-01: 375221000 EUR "Trade And Other Payables Current" 2023-01-01: 885416000 EUR "Trade And Other Payables Current" 2022-01-01: 644701000 EUR "Current Tax Liabilities" 2023-01-01: 0 EUR "Current Tax Liabilities" 2022-01-01: 26644000 EUR "Liability Related To The Transitional Gas Price Stabilization Regime Decree Law84D2022" 2023-01-01: 1000000000 EUR "Liability Related To The Transitional Gas Price Stabilization Regime Decree Law84D2022" 2022-01-01: 0 EUR "Current Liabilities" 2023-01-01: 2524360000 EUR "Current Liabilities" 2022-01-01: 1046566000 EUR "Liabilities" 2023-01-01: 4934062000 EUR "Liabilities" 2022-01-01: 4178686000 EUR "Equity And Liabilities" 2023-01-01: 6451596000 EUR "Equity And Liabilities" 2022-01-01: 5588516000 EUR "Revenue From Sale Of Goods" 2022-01-01 - 2023-01-01: 96000 EUR "Revenue From Sale Of Goods" 2021-01-01 - 2022-01-01: 734000 EUR "Revenue From Rendering Of Services" 2022-01-01 - 2023-01-01: 588130000 EUR "Revenue From Rendering Of Services" 2021-01-01 - 2022-01-01: 565103000 EUR "Revenue Recognised On Exchanging Construction Services For Intangible Asset" 2022-01-01 - 2023-01-01: 197420000 EUR "Revenue Recognised On Exchanging Construction Services For Intangible Asset" 2021-01-01 - 2022-01-01: 237696000 EUR "Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method" 2022-01-01 - 2023-01-01: 11812000 EUR "Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method" 2021-01-01 - 2022-01-01: 6431000 EUR "Miscellaneous Other Operating Income" 2022-01-01 - 2023-01-01: 27225000 EUR "Miscellaneous Other Operating Income" 2021-01-01 - 2022-01-01: 28389000 EUR "Revenue And Operating Income" 2022-01-01 - 2023-01-01: 824683000 EUR "Revenue And Operating Income" 2021-01-01 - 2022-01-01: 838353000 EUR "Cost Of Sales" 2022-01-01 - 2023-01-01: 901000 EUR "Cost Of Sales" 2021-01-01 - 2022-01-01: 1212000 EUR "Costs With Construction Of Concession Assets" 2022-01-01 - 2023-01-01: 175095000 EUR "Costs With Construction Of Concession Assets" 2021-01-01 - 2022-01-01: 215253000 EUR "Services Expense" 2022-01-01 - 2023-01-01: 82516000 EUR "Services Expense" 2021-01-01 - 2022-01-01: 84695000 EUR "Employee Benefits Expense" 2022-01-01 - 2023-01-01: 58519000 EUR "Employee Benefits Expense" 2021-01-01 - 2022-01-01: 56108000 EUR "Depreciation And Amortisation Expense" 2022-01-01 - 2023-01-01: 249276000 EUR "Depreciation And Amortisation Expense" 2021-01-01 - 2022-01-01: 241940000 EUR "Changes In Other Provisions" 2022-01-01 - 2023-01-01: -2230000 EUR "Changes In Other Provisions" 2021-01-01 - 2022-01-01: -365000 EUR "Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss" 2022-01-01 - 2023-01-01: 1437000 EUR "Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss" 2021-01-01 - 2022-01-01: 1313000 EUR "Miscellaneous Other Operating Expense" 2022-01-01 - 2023-01-01: 14988000 EUR "Miscellaneous Other Operating Expense" 2021-01-01 - 2022-01-01: 18604000 EUR "Operating Expense" 2022-01-01 - 2023-01-01: 584962000 EUR "Operating Expense" 2021-01-01 - 2022-01-01: 619490000 EUR "Profit Loss From Operating Activities" 2022-01-01 - 2023-01-01: 239721000 EUR "Profit Loss From Operating Activities" 2021-01-01 - 2022-01-01: 218863000 EUR "Finance Costs" 2022-01-01 - 2023-01-01: 67394000 EUR "Finance Costs" 2021-01-01 - 2022-01-01: 54356000 EUR "Other Finance Income" 2022-01-01 - 2023-01-01: 11911000 EUR "Other Finance Income" 2021-01-01 - 2022-01-01: 3272000 EUR "Revenue From Dividends" 2022-01-01 - 2023-01-01: 9815000 EUR "Revenue From Dividends" 2021-01-01 - 2022-01-01: 8496000 EUR "Finance Income Cost" 2022-01-01 - 2023-01-01: -45668000 EUR "Finance Income Cost" 2021-01-01 - 2022-01-01: -42588000 EUR "Profit And Loss Before Taxes And Esec" 2022-01-01 - 2023-01-01: 194053000 EUR "Profit And Loss Before Taxes And Esec" 2021-01-01 - 2022-01-01: 176275000 EUR "Income Tax Expense Continuing Operations" 2022-01-01 - 2023-01-01: 54263000 EUR "Income Tax Expense Continuing Operations" 2021-01-01 - 2022-01-01: 52081000 EUR "Energy Sector Extraordinary Contribution" 2022-01-01 - 2023-01-01: 28019000 EUR "Energy Sector Extraordinary Contribution" 2021-01-01 - 2022-01-01: 27041000 EUR "Profit Loss" 2022-01-01 - 2023-01-01: 111771000 EUR "Profit Loss" 2021-01-01 - 2022-01-01: 97153000 EUR "Profit Loss Attributable To Owners Of Parent" 2022-01-01 - 2023-01-01: 111771000 EUR "Profit Loss Attributable To Owners Of Parent" 2021-01-01 - 2022-01-01: 97153000 EUR "Profit Loss Attributable To Noncontrolling Interests" 2022-01-01 - 2023-01-01: 0 EUR "Profit Loss Attributable To Noncontrolling Interests" 2021-01-01 - 2022-01-01: 0 EUR "Basic Earnings Loss Per Share" 2022-01-01 - 2023-01-01: 0.17 EUR/shares "Basic Earnings Loss Per Share" 2021-01-01 - 2022-01-01: 0.15 EUR/shares "Other Comprehensive Income Before Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2022-01-01 - 2023-01-01: 27254000 EUR "Other Comprehensive Income Before Tax Gains Losses On Remeasurements Of Defined Benefit Plans" 2021-01-01 - 2022-01-01: 2436000 EUR "Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income" 2022-01-01 - 2023-01-01: 8175000 EUR "Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income" 2021-01-01 - 2022-01-01: 731000 EUR "Other Changes In Equity Items That Will Not Be Reclassified Subsequently To Profit Or Loss" 2022-01-01 - 2023-01-01: 0 EUR "Other Changes In Equity Items That Will Not Be Reclassified Subsequently To Profit Or Loss" 2021-01-01 - 2022-01-01: 184000 EUR "Gains Losses On Exchange Differences On Translation Net Of Tax" 2022-01-01 - 2023-01-01: 20090000 EUR "Gains Losses On Exchange Differences On Translation Net Of Tax" 2021-01-01 - 2022-01-01: -5917000 EUR "Other Comprehensive Income Before Tax Cash Flow Hedges" 2022-01-01 - 2023-01-01: 92660000 EUR "Other Comprehensive Income Before Tax Cash Flow Hedges" 2021-01-01 - 2022-01-01: 18097000 EUR "Income Tax Relating To Cash Flow Hedges Of Other Comprehensive Income" 2022-01-01 - 2023-01-01: 21016000 EUR "Income Tax Relating To Cash Flow Hedges Of Other Comprehensive Income" 2021-01-01 - 2022-01-01: 4678000 EUR "Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Before Tax" 2022-01-01 - 2023-01-01: -17009000 EUR "Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Before Tax" 2021-01-01 - 2022-01-01: 11860000 EUR "Income Tax Relating To Financial Assets Measured At Fair Value Through Other Comprehensive Income" 2022-01-01 - 2023-01-01: -4368000 EUR "Income Tax Relating To Financial Assets Measured At Fair Value Through Other Comprehensive Income" 2021-01-01 - 2022-01-01: 3007000 EUR "Other Changes In Equity Items That May Be Reclassified Subsequently To Profit Or Loss" 2022-01-01 - 2023-01-01: -89000 EUR "Other Changes In Equity Items That May Be Reclassified Subsequently To Profit Or Loss" 2021-01-01 - 2022-01-01: 159000 EUR "Comprehensive Income" 2022-01-01 - 2023-01-01: 209853000 EUR "Comprehensive Income" 2021-01-01 - 2022-01-01: 115556000 EUR "Comprehensive Income Attributable To Owners Of Parent" 2022-01-01 - 2023-01-01: 209853000 EUR "Comprehensive Income Attributable To Owners Of Parent" 2021-01-01 - 2022-01-01: 115556000 EUR "Comprehensive Income Attributable To Noncontrolling Interests" 2022-01-01 - 2023-01-01: 0 EUR "Comprehensive Income Attributable To Noncontrolling Interests" 2021-01-01 - 2022-01-01: 0 EUR "Equity" "Issued Capital Member" 2021-01-01: 667191000 EUR "Equity" "Treasury Shares Member" 2021-01-01: -10728000 EUR "Equity" "Share Premium Member" 2021-01-01: 116809000 EUR "Equity" "Statutory Reserve Member" 2021-01-01: 125075000 EUR "Equity" "Reserve Of Gains And Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Member" 2021-01-01: 48905000 EUR "Equity" "Reserve Of Cash Flow Hedges Member" 2021-01-01: -25545000 EUR "Equity" "Other Reserves Member" 2021-01-01: 141452000 EUR "Equity" "Other Changes In Equity Member" 2021-01-01: -5561000 EUR "Equity" "Retained Earnings Excluding Profit Loss For Reporting Period Member" 2021-01-01: 240853000 EUR "Equity" "Retained Earnings Profit Loss For Reporting Period Member" 2021-01-01: 109249000 EUR "Equity" 2021-01-01: 1407700000 EUR "Comprehensive Income" "Issued Capital Member" 2021-01-01 - 2022-01-01: 0 EUR "Comprehensive Income" "Treasury Shares Member" 2021-01-01 - 2022-01-01: 0 EUR "Comprehensive Income" "Share Premium Member" 2021-01-01 - 2022-01-01: 0 EUR "Comprehensive Income" "Statutory Reserve Member" 2021-01-01 - 2022-01-01: 0 EUR "Comprehensive Income" "Reserve Of Gains And Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Member" 2021-01-01 - 2022-01-01: 8853000 EUR "Comprehensive Income" "Reserve Of Cash Flow Hedges Member" 2021-01-01 - 2022-01-01: 13419000 EUR "Comprehensive Income" "Other Reserves Member" 2021-01-01 - 2022-01-01: -5758000 EUR "Comprehensive Income" "Other Changes In Equity Member" 2021-01-01 - 2022-01-01: 0 EUR "Comprehensive Income" "Retained Earnings Excluding Profit Loss For Reporting Period Member" 2021-01-01 - 2022-01-01: 1889000 EUR "Comprehensive Income" "Retained Earnings Profit Loss For Reporting Period Member" 2021-01-01 - 2022-01-01: 97153000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Issued Capital Member" 2021-01-01 - 2022-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Treasury Shares Member" 2021-01-01 - 2022-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Share Premium Member" 2021-01-01 - 2022-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Statutory Reserve Member" 2021-01-01 - 2022-01-01: 5587000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Reserve Of Gains And Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Member" 2021-01-01 - 2022-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Reserve Of Cash Flow Hedges Member" 2021-01-01 - 2022-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Other Reserves Member" 2021-01-01 - 2022-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Other Changes In Equity Member" 2021-01-01 - 2022-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Retained Earnings Excluding Profit Loss For Reporting Period Member" 2021-01-01 - 2022-01-01: 103662000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Retained Earnings Profit Loss For Reporting Period Member" 2021-01-01 - 2022-01-01: -109249000 EUR "Increase Decrease Through Transfers And Other Changes Equity" 2021-01-01 - 2022-01-01: 0 EUR "Dividends Paid" "Issued Capital Member" 2021-01-01 - 2022-01-01: -0 EUR "Dividends Paid" "Treasury Shares Member" 2021-01-01 - 2022-01-01: -0 EUR "Dividends Paid" "Share Premium Member" 2021-01-01 - 2022-01-01: -0 EUR "Dividends Paid" "Statutory Reserve Member" 2021-01-01 - 2022-01-01: -0 EUR "Dividends Paid" "Reserve Of Gains And Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Member" 2021-01-01 - 2022-01-01: -0 EUR "Dividends Paid" "Reserve Of Cash Flow Hedges Member" 2021-01-01 - 2022-01-01: -0 EUR "Dividends Paid" "Other Reserves Member" 2021-01-01 - 2022-01-01: -0 EUR "Dividends Paid" "Other Changes In Equity Member" 2021-01-01 - 2022-01-01: -0 EUR "Dividends Paid" "Retained Earnings Excluding Profit Loss For Reporting Period Member" 2021-01-01 - 2022-01-01: 113426000 EUR "Dividends Paid" "Retained Earnings Profit Loss For Reporting Period Member" 2021-01-01 - 2022-01-01: -0 EUR "Dividends Paid" 2021-01-01 - 2022-01-01: 113426000 EUR "Equity" "Issued Capital Member" 2022-01-01: 667191000 EUR "Equity" "Treasury Shares Member" 2022-01-01: -10728000 EUR "Equity" "Share Premium Member" 2022-01-01: 116809000 EUR "Equity" "Statutory Reserve Member" 2022-01-01: 130662000 EUR "Equity" "Reserve Of Gains And Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Member" 2022-01-01: 57758000 EUR "Equity" "Reserve Of Cash Flow Hedges Member" 2022-01-01: -12126000 EUR "Equity" "Other Reserves Member" 2022-01-01: 135694000 EUR "Equity" "Other Changes In Equity Member" 2022-01-01: -5561000 EUR "Equity" "Retained Earnings Excluding Profit Loss For Reporting Period Member" 2022-01-01: 232978000 EUR "Equity" "Retained Earnings Profit Loss For Reporting Period Member" 2022-01-01: 97153000 EUR "Comprehensive Income" "Issued Capital Member" 2022-01-01 - 2023-01-01: 0 EUR "Comprehensive Income" "Treasury Shares Member" 2022-01-01 - 2023-01-01: 0 EUR "Comprehensive Income" "Share Premium Member" 2022-01-01 - 2023-01-01: 0 EUR "Comprehensive Income" "Statutory Reserve Member" 2022-01-01 - 2023-01-01: 0 EUR "Comprehensive Income" "Reserve Of Gains And Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Member" 2022-01-01 - 2023-01-01: -12641000 EUR "Comprehensive Income" "Reserve Of Cash Flow Hedges Member" 2022-01-01 - 2023-01-01: 71644000 EUR "Comprehensive Income" "Other Reserves Member" 2022-01-01 - 2023-01-01: 20035000 EUR "Comprehensive Income" "Other Changes In Equity Member" 2022-01-01 - 2023-01-01: 0 EUR "Comprehensive Income" "Retained Earnings Excluding Profit Loss For Reporting Period Member" 2022-01-01 - 2023-01-01: 19046000 EUR "Comprehensive Income" "Retained Earnings Profit Loss For Reporting Period Member" 2022-01-01 - 2023-01-01: 111771000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Issued Capital Member" 2022-01-01 - 2023-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Treasury Shares Member" 2022-01-01 - 2023-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Share Premium Member" 2022-01-01 - 2023-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Statutory Reserve Member" 2022-01-01 - 2023-01-01: 5040000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Reserve Of Gains And Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Member" 2022-01-01 - 2023-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Reserve Of Cash Flow Hedges Member" 2022-01-01 - 2023-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Other Reserves Member" 2022-01-01 - 2023-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Other Changes In Equity Member" 2022-01-01 - 2023-01-01: 0 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Retained Earnings Excluding Profit Loss For Reporting Period Member" 2022-01-01 - 2023-01-01: 92113000 EUR "Increase Decrease Through Transfers And Other Changes Equity" "Retained Earnings Profit Loss For Reporting Period Member" 2022-01-01 - 2023-01-01: -97153000 EUR "Increase Decrease Through Transfers And Other Changes Equity" 2022-01-01 - 2023-01-01: 0 EUR "Dividends Paid" "Issued Capital Member" 2022-01-01 - 2023-01-01: -0 EUR "Dividends Paid" "Treasury Shares Member" 2022-01-01 - 2023-01-01: -0 EUR "Dividends Paid" "Share Premium Member" 2022-01-01 - 2023-01-01: -0 EUR "Dividends Paid" "Statutory Reserve Member" 2022-01-01 - 2023-01-01: -0 EUR "Dividends Paid" "Reserve Of Gains And Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Member" 2022-01-01 - 2023-01-01: -0 EUR "Dividends Paid" "Reserve Of Cash Flow Hedges Member" 2022-01-01 - 2023-01-01: -0 EUR "Dividends Paid" "Other Reserves Member" 2022-01-01 - 2023-01-01: -0 EUR "Dividends Paid" "Other Changes In Equity Member" 2022-01-01 - 2023-01-01: -0 EUR "Dividends Paid" "Retained Earnings Excluding Profit Loss For Reporting Period Member" 2022-01-01 - 2023-01-01: 102150000 EUR "Dividends Paid" "Retained Earnings Profit Loss For Reporting Period Member" 2022-01-01 - 2023-01-01: -0 EUR "Dividends Paid" 2022-01-01 - 2023-01-01: 102150000 EUR "Equity" "Issued Capital Member" 2023-01-01: 667191000 EUR "Equity" "Treasury Shares Member" 2023-01-01: -10728000 EUR "Equity" "Share Premium Member" 2023-01-01: 116809000 EUR "Equity" "Statutory Reserve Member" 2023-01-01: 135702000 EUR "Equity" "Reserve Of Gains And Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Member" 2023-01-01: 45117000 EUR "Equity" "Reserve Of Cash Flow Hedges Member" 2023-01-01: 59518000 EUR "Equity" "Other Reserves Member" 2023-01-01: 155729000 EUR "Equity" "Other Changes In Equity Member" 2023-01-01: -5561000 EUR "Equity" "Retained Earnings Excluding Profit Loss For Reporting Period Member" 2023-01-01: 241987000 EUR "Equity" "Retained Earnings Profit Loss For Reporting Period Member" 2023-01-01: 111771000 EUR "Receipts From Sales Of Goods And Rendering Of Services" 2022-01-01 - 2023-01-01: 3214161000 EUR "Receipts From Sales Of Goods And Rendering Of Services" 2021-01-01 - 2022-01-01: 2784889000 EUR "Payments To Suppliers For Goods And Services" 2022-01-01 - 2023-01-01: 2394772000 EUR "Payments To Suppliers For Goods And Services" 2021-01-01 - 2022-01-01: 1873431000 EUR "Payments To And On Behalf Of Employees" 2022-01-01 - 2023-01-01: 76220000 EUR "Payments To And On Behalf Of Employees" 2021-01-01 - 2022-01-01: 75741000 EUR "Income Taxes Paid Refund Classified As Operating Activities" 2022-01-01 - 2023-01-01: 77970000 EUR "Income Taxes Paid Refund Classified As Operating Activities" 2021-01-01 - 2022-01-01: 74253000 EUR "Other Inflows Outflows Of Cash Classified As Operating Activities" 2022-01-01 - 2023-01-01: -51733000 EUR "Other Inflows Outflows Of Cash Classified As Operating Activities" 2021-01-01 - 2022-01-01: -61427000 EUR "Cash Flows From Used In Operating Activities" 2022-01-01 - 2023-01-01: 613466000 EUR "Cash Flows From Used In Operating Activities" 2021-01-01 - 2022-01-01: 700037000 EUR "Cash Receipts From Repayment Of Advances And Loans Made To Related Parties" 2022-01-01 - 2023-01-01: 391000 EUR "Cash Receipts From Repayment Of Advances And Loans Made To Related Parties" 2021-01-01 - 2022-01-01: 199000 EUR "Proceeds From Government Grants Classified As Investing Activities" 2022-01-01 - 2023-01-01: 83890000 EUR "Proceeds From Government Grants Classified As Investing Activities" 2021-01-01 - 2022-01-01: 28533000 EUR "Dividends Received Classified As Investing Activities" 2022-01-01 - 2023-01-01: 21551000 EUR "Dividends Received Classified As Investing Activities" 2021-01-01 - 2022-01-01: 13218000 EUR "Purchase Of Financial Instruments Classified As Investing Activities" 2022-01-01 - 2023-01-01: -0 EUR "Purchase Of Financial Instruments Classified As Investing Activities" 2021-01-01 - 2022-01-01: 15000 EUR "Purchase Of Property Plant And Equipment Classified As Investing Activities" 2022-01-01 - 2023-01-01: 6266000 EUR "Purchase Of Property Plant And Equipment Classified As Investing Activities" 2021-01-01 - 2022-01-01: 4840000 EUR "Purchase Of Intangible Assets Classified As Investing Activities" 2022-01-01 - 2023-01-01: 201572000 EUR "Purchase Of Intangible Assets Classified As Investing Activities" 2021-01-01 - 2022-01-01: 196762000 EUR "Cash Flows From Used In Investing Activities" 2022-01-01 - 2023-01-01: -102006000 EUR "Cash Flows From Used In Investing Activities" 2021-01-01 - 2022-01-01: -159667000 EUR "Proceeds From Borrowings Classified As Financing Activities" 2022-01-01 - 2023-01-01: 1165000000 EUR "Proceeds From Borrowings Classified As Financing Activities" 2021-01-01 - 2022-01-01: 2035000000 EUR "Repayments Of Borrowings Classified As Financing Activities" 2022-01-01 - 2023-01-01: 1523313000 EUR "Repayments Of Borrowings Classified As Financing Activities" 2021-01-01 - 2022-01-01: 2081311000 EUR "Interest Paid Classified As Financing Activities" 2022-01-01 - 2023-01-01: 40545000 EUR "Interest Paid Classified As Financing Activities" 2021-01-01 - 2022-01-01: 39725000 EUR "Payments Of Lease Liabilities Classified As Financing Activities" 2022-01-01 - 2023-01-01: 2157000 EUR "Payments Of Lease Liabilities Classified As Financing Activities" 2021-01-01 - 2022-01-01: 2065000 EUR "Payments Of Lease Interests" 2022-01-01 - 2023-01-01: 26000 EUR "Payments Of Lease Interests" 2021-01-01 - 2022-01-01: 29000 EUR "Dividends Paid Classified As Financing Activities" 2022-01-01 - 2023-01-01: 144602000 EUR "Dividends Paid Classified As Financing Activities" 2021-01-01 - 2022-01-01: 113426000 EUR "Cash Flows From Used In Financing Activities" 2022-01-01 - 2023-01-01: -545643000 EUR "Cash Flows From Used In Financing Activities" 2021-01-01 - 2022-01-01: -201556000 EUR "Increase Decrease In Cash And Cash Equivalents" 2022-01-01 - 2023-01-01: -34183000 EUR "Increase Decrease In Cash And Cash Equivalents" 2021-01-01 - 2022-01-01: 338814000 EUR "Effect Of Exchange Rate Changes On Cash And Cash Equivalents" 2022-01-01 - 2023-01-01: 716000 EUR "Effect Of Exchange Rate Changes On Cash And Cash Equivalents" 2021-01-01 - 2022-01-01: -1224000 EUR "Cash And Cash Equivalents If Different From Statement Of Financial Position" 2022-01-01: 398759000 EUR "Cash And Cash Equivalents If Different From Statement Of Financial Position" 2021-01-01: 61169000 EUR "Cash And Cash Equivalents If Different From Statement Of Financial Position" 2023-01-01: 365292000 EUR "Cash" 2023-01-01: 1000 EUR "Cash" 2022-01-01: 0 EUR "Bank Overdrafts Classified As Cash Equivalents" 2023-01-01: -0 EUR "Bank Overdrafts Classified As Cash Equivalents" 2022-01-01: -0 EUR "Cash Equivalents" 2023-01-01: 365291000 EUR "Cash Equivalents" 2022-01-01: 398759000 EUR "The Transitional Gas Price Stabilization Regime Decree Law84D2022" 2023-01-01: 0 EUR "The Transitional Gas Price Stabilization Regime Decree Law84D2022" 2022-01-01: 0 EUR "Name Of Reporting Entity Or Other Means Of Identification" "pt" 2022-01-01 - 2023-01-01: REN – Redes Energéticas Nacionais, SGPS, S.A. "Legal Form Of Entity" "pt" 2022-01-01 - 2023-01-01: S.A. "Address Of Registered Office Of Entity" "pt" 2022-01-01 - 2023-01-01: Avenida Estados Unidos da América, 55 - Lisboa "Principal Place Of Business" "pt" 2022-01-01 - 2023-01-01: Portugal "Domicile Of Entity" "pt" 2022-01-01 - 2023-01-01: Portugal "Country Of Incorporation" "pt" 2022-01-01 - 2023-01-01: Portugal "Dividends Recognised As Distributions To Owners Per Share" 2022-01-01 - 2023-01-01: 154 EUR/shares Based on this, estimate the FFO / Net debt ratio for 2022. Start with your reasoning. At the end, give your final answer on a single line between XML tags with no markdown fences, no units, and no prose, like so: VALUE.