Centrica Results Presentation Deck slide image

Centrica Results Presentation Deck

Free cash flow Year ended 31 December (£m) Continuing operations British Gas Services & Solutions British Gas Energy Centrica Business Solutions Bord Gáis Energy Energy Marketing & Trading Upstream Other Segmental free cash flow Discontinued operations Direct Energy Group total free cash flow excluding tax Taxes paid from continuing operations Taxes paid from discontinued operations Total Group adjusted free cash flow Less discontinued operations free cash flow (including tax) Free cash flow from continuing operations 37 Centrica plc Preliminary Results 2021 2020¹ 260 (29) (50) 35 241 193 37 687 401 (2) (25) 1,061 (376) 685 2021 170 16 22 3 206 835 62 1,314 2,597 (140) (9) 3,762 (2,588) 1,174 A (35%) Nm Nm (91%) (15%) 333% 68% 91% 548% 6,900% (64%) 255% 588% 71% centrica A reconciliation of free cash flow is provided in the Group Financial Review in the Preliminary Results announcement. 1. 2020 restated to reflect the new operating structure of the Group.
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