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Investor Presentaiton

Group 2022 results: Strong positive free cash flow to equity at S$1.9 billion Olam Cash from divestments and significantly lower gross Capex led to strong positive FCFE Free Cash Flow to Equity (FCFE) (S$ million) +2,980 224 406 -34 2,706 1,949 -322 -1,031 2021 Operating Cash Flow (before Interest & Tax) Changes in Working Capital Tax Paid Capex/ Investments Net Interest Paid 2022 Net Operating 1,298 630 1,928 Cash Flow (S$ M) FCFF (S$ M) Olam Group Limited Investor Presentation | May 2023 -603 +3,302 29 Not for distribution in the United States, the United Kingdom, European Economic Area, Canada, Australia or Japan 2,699
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