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Analysis of cash flows - Net cash flow from operating activities (Detail) - GBP (£)
£ in Millions
6 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Analysis of cash flows [Abstract]    
Profit for the period £ 301.1 £ 287.3 [1]
Taxation 117.5 107.1
Revaluation and retranslation of financial instruments (33.1) 12.1
Finance costs 144.9 147.2
Finance and investment income (55.5) (30.1)
Share of results of associates 63.8 (40.0)
Adjustments for:    
Non-cash share-based incentive plans (including share options) 67.3 43.9
Depreciation of property, plant and equipment 79.9 71.2
Depreciation of right-of-use assets 129.9 139.3
Impairment charges included within restructuring costs 8.1 7.9
Amortisation and impairment of acquired intangible assets 31.5 30.1
Amortisation of other intangible assets 13.6 9.4
Loss on disposal of investments and subsidiaries 48.1 1.0
Gains on remeasurement of equity interests arising from a change in scope of ownership (60.4) 0.0
Gains on sale of property, plant and equipment (1.1) (1.2)
Movements in trade working capital (1,015.3) (464.1)
Movements in other working capital and provisions (725.9) (41.2)
Corporation and overseas tax paid (162.7) (162.7)
Interest and similar charges paid (86.8) (90.1)
Interest expense related to lease liabilities (44.1) (44.7)
Interest received 26.9 25.1
Income from equity investments 20.1 5.0
Dividends from associates 21.4 26.7
Net cash (outflow)/inflow from operating activities £ (1,110.8) £ 39.2
[1] Figures have been restated as described in Note 2: Accounting Policies.