Centrica Results Presentation Deck
Free cash flow
Period ended 30 June (£m)
Continuing Operations
British Gas Services and Solutions
British Gas Energy
Energy Marketing & Trading
Centrica Business Solutions
Bord Gáis Energy
Upstream
Other
Segmental free cash flow
Discontinued Operations
Direct Energy
Group total free cash flow excluding tax
Taxes paid from continuing operations
Taxes paid from discontinuing operations
Total Group adjusted free cash flow
Less discontinuing operations free cash flow (including tax)
Free cash flow from continuing operations
26 Interim Results 2021
2020¹
80
(37)
211
93
26
150
24
547
251
798
(43)
(6)
749
(245)
504
2021
46
(58)
121
72
(7)
255
54
483
2,582
3,065
41
3,106
(2,582)
524
A
(43%)
57%
(43%)
(23%)
nm
70%
125%
(12%)
.......
929%
284%
nm
nm
315%
954%
4%
centrica
A reconciliation of free cash flow is provided in the Group Financial
Review in the Interim Results announcement.
1. 2020 restated to reflect the new operating structure of the Group.View entire presentation