Investor Presentaiton slide image

Investor Presentaiton

FINANCIALS GROWING RETURNS AND CASHFLOWS 24 STRONG CASHFLOW GROWING CFFO BY >13% CAGR* FINANCIAL STRENGTH CAPITAL DISCIPLINE NET CAPEX >20% LOWER THAN PREVIOUS PLAN BALANCE SHEET A CONSERVATIVE CAPITAL STRUCTURE WITH ADVANTAGED COST OF CAPITAL DISTRIBUTION AROUND 30-35% OF CFFO COMPARED WITH THE PREVIOUS 25-30% 2024 DIVIDEND €1/SHARE +6% VS 2023 *2024-2027 CAGR, per share basis. FLEXIBILITY WITH DOWNSIDE PROTECTION ENABLING EXECUTION DELIVERING COMPETITIVE RETURNS TO OUR INVESTORS
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