Pearson Results Presentation Deck slide image

Pearson Results Presentation Deck

Key Cash Flow Movements £m Adjusted operating profit Capex cash Depreciation. Net capex investment Product development cash Amortisation Net product development investment Other working capital movements Operating cash flow Operating cash conversion 2022 456 (196) 209 13 (357) 290 (67) (1) 401 88% 2021 385 (206) 213 7 (287) 264 (23) 19 388 101% 10
View entire presentation