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Cash generated from operating activities
12 Months Ended
Dec. 31, 2024
Cash generated from operating activities  
Cash generated from operating activities

24.  Cash generated from operating activities

Year ended

December 31, 

2024

2023

2022

    

$’m

    

$’m

    

$’m

(Loss)/profit for the year

 

(3)

 

(50)

 

237

Income tax charge/(credit) (note 7)

 

13

 

(21)

 

19

Net finance expense/(income) (note 6)

 

192

 

147

 

(80)

Depreciation and amortization (notes 10, 11)

 

449

 

418

 

359

Exceptional operating items (note 5)

 

21

 

106

 

90

Movement in working capital

 

40

 

270

 

(202)

Exceptional costs paid, including restructuring

 

(53)

 

(56)

 

(101)

Cash generated from operations

 

659

 

814

 

322