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Company Cash Flow Statement

Company Cash Flow StatementYear ended 31 December 2006
All figures in £ millions Notes 2006 2005
Cash flows from operating activities      
Net profit/(loss)   78 (362)
Adjustments for:      
Tax   (67) (54)
Net finance costs   63 241
Other liabilities   16
Amounts due from subsidiaries   (115) 549
Amount written down in investments
in subsidiaries
  20
Cash (used in)/generated from
operations
  (5) 374
Interest paid   (175) (159)
Tax received   55 57
Net cash (used in)/generated from
operating activities
  (125) 272
Cash flows from investing activities      
Acquisition of subsidiaries,
net of cash acquired
  (120) (33)
Interest received   15 13
Purchase of other financial assets   (60)
Disposal of other financial assets   341
Net cash (used in)/generated from
investing activities
  (105) 261
Cash flows from financing activities      
Proceeds from issue of ordinary shares 6 11 4
Net Group contribution to purchase of
treasury shares
7 6 5
Repayments of borrowings   (12) (59)
Dividends paid to Company’s
shareholders
  (220) (205)
Net cash used in financing activities   (215) (255)
Effects of exchange rate changes
on cash and cash equivalents
  (10) (3)
Net (decrease)/increase in cash
and cash equivalents
  (455) 275
Cash and cash equivalents at
beginning of year
  272 (3)
Cash and cash equivalents at end of year 3 (183) 272

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