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Investor Presentaiton

FY22 Year on Year: Generating strong cash flows Operating Cash flow* Net Debt Net Debt to EBITDA 800 +22.5% 981 523 +1.9% -14.9% 533 0.51x 211 254 312 279 FY21 FY22 Dec-21 vodafone 0.43x Dec-22 Dec-21 Dec-22 Dividend • • Strong cash flow generation with 22.5% growth YoY reflected growth in EBITDA Net debt remained stable despite increase in dividend and higher CAPEX intensity Net debt to EBITDA ratio continues to decline reaching 0.43x FY22 Financial Performance 26 January 2023 * Cash generated from operations as per statement of cash flows net off lease payments All amounts are in QR millions unless otherwise stated 20
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