RELX Results Presentation Deck slide image

RELX Results Presentation Deck

Free cash flow Year to 31 December Adjusted operating profit Depreciation and amortisation of internally developed intangibles Depreciation of right-of-use assets Pre-publication amortisation Capital expenditure Repayment of lease principal (net) Working capital and other items Adjusted cash flow Cash flow conversion rate Cash interest paid Cash tax paid Exhibitions exceptional costs Acquisition-related items Free cash flow & RELX 2020 £m 2,076 341 88 62 (362) (87) (109) 2,009 97% (172) (496) (51) (67) 1,223 2021 £m 2,210 347 80 60 (337) (76) (54) 2,230 101% (118) (342) (52) (46) 1,672 19
View entire presentation