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Investor Presentaiton

Pro Forma Capital Structure and Debt Maturity Altice France Restricted Group (€bn) Net debt €22,205m 0.1 0.1 0.1 0.1 3.2 6.8 5.1 3.6 3.5 WAL WACD 5.9 years 4.4% Fixed interest Net leverage Liquidity 90% 5.4x €1.5bn Altice France Holding Net debt €4,286m WAL 6.4 years WACD Fixed interest Altice France 6.5% 100% Net debt WAL WACD Fixed interest altu €17,919m 5.7 years 3.9% 88% 2021 2022 2023 2024 2025 2026 2027 2028 2029 Altice France Altice France Holding c. €90 million full year network tax (IFER) recognized in Q1 2021 operating costs, and consequently reflected in adjusted EBITDA as shown (c.€80 million IFER tax recognized in Q1 2020) For other footnotes see slide 14 7 a altice
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