Group and Segment Highlights Deck slide image

Group and Segment Highlights Deck

Group Highlights Statement of Cash Flows $m Net cash from /(used in): Operating activities FY2022 FY2021 673 1,114 Investing activities (4,571) (414) Financing activities 3,698 (615) Net change in CCE* (201) 86 CCE at beginning of the year 816 729 Exchange difference (14) 1 CCE at end of the year 602 816 * CCE -Cash & Cash Equivalents 38 | ST Engineering
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