Sustainable Growth Strategy slide image

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 mondi
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