FINANCIAL
RESULTS
CONTINUING HEPS
391,6 cents
46,2%
CONSTANT CURRENCY, HEPS 52,8%
FREE CASH FLOW (AFTER LEASE PAYMENTS)
R2,7bn
ABSOLUTE IMPROVEMENT OF R1,8bn
CASH GENERATED BY CONTINUING OPERATIONS
R3,7bn
7,8%
GROUP CASH FLOW EVOLUTION:
MARCH 2020 – FEBRUARY 2021
