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Investor Presentaiton

Healthy cash generation with $2.65b net cash at year end $m (307) 1,038 3,584 (1,586) • Includes: Buy-back $948.9m1 (incl completion of initial 10% buy-back) • $366.5m for FY22 final dividend and $272.3m for FY23 interim dividend (77) 2,652 30-Jun-22 Net cash from operating activities Investing Returns to shareholders' Repayments & Other 30-Jun-23 1. Includes a share trade entered into on 30 June 2022 for $3,588,000 that was settled and paid on 4 July 2022. Excludes share trade entered into on 30 June 2023 for $5,663,000 that was settled and paid on 32 4 July 2023, bringing total share buy-backs for the year to $948.9 million.
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