Investor Presentation June 2021 slide image

Investor Presentation June 2021

20 Investor Presentation June 2021 Fit for Growth journey: Cash flow back to target level Substantial cash release from working capital. FY 2020 cash conversion 158.5% Working capital EUR million -32.3 -30.8 -54.6 -100.9 Caverion Building Performance Operating cash flow before financial and tax items EUR million +180.0 EURM ā†’ 157.6 143.7 21.6 -8.7 -129.0 EURM -160.4 -22.4 2016 2017 2018 2019 2020 2016 2017 2018 2019 2020 * 2019 figures according to IFRS16
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