Rightmove Results Presentation Deck slide image

Rightmove Results Presentation Deck

11 Cash bridge £ millions 250 200 150 100 50 0 96.7 Cash FY 2020 236.8 Decrease in cash of £48.7m (41.6) Cash Tax generation payments (175.6) Share buybacks (incl costs) (64.4) (3.9) Dividends Other 48.0 Cash FY 2021 (1) cash from operating activities as a proportion of operating profit Source: Rightmove. Cash includes money market deposits. • Cash generated from operating activities of £237m (2020:£141m) ● ● Operating cash conversion(¹) of 105% (2020:105%) Closing cash of £48.0m (31 Dec 2020: £96.7 m) Lower cash balance reflects resumption of dividends and share buybacks Long term capital returns policy unchanged rightmove
View entire presentation