Sustainable Growth Strategy
Investing in our business and distributions to shareholders
Cash flow generation since listing
€ billion
Strong cash
generation
through the
cycle
(5% CAGR to 2020)
Investing in
our cost
advantaged
asset base
Taking
advantage of
opportunities
at the right
value
Returning
Divesting
non-core and
underperforming
operations
capital to our
shareholders
in line with
our cash flow
priorities
(7.3)
11.9
Cash flow
generation
Capital expenditure
0.8
(2.5)
Acquisitions
Cash flow generation based on net cash generated before capital expenditure, acquisitions and disposals
of businesses, investment in equity accounted investees and payment of dividends to shareholders
28
88
(3.1)
Disposals
Payment of
dividends to
shareholders
0.2
Increase in
net debt
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