Pearson Results Presentation Deck slide image

Pearson Results Presentation Deck

Cash & Balance Sheet £m Operating cash flow Cash conversion% Free cash flow Net debt Net debt: adj. EBITDA ROC Dividend 2022 401 88% 222 (557) 0.8x 8.7% 21.5p 2021 388 101% 133 (350) 0.6x 7.9% 20.5p 11
View entire presentation