INTEGRATED REPORT 2022

NET DEBT €M 807 1 669 854 LIQUIDITY €BN NET DEBT/EBITDA 1.1 1.2 1.9 EXCL. 2022 ACQUISITIONS € FREE CASH FLOW €M 34 243 251 7.7 9.2 8.0 2020 2022 2021 OPERATING MARGIN €M ECONOMIC REVENUE €BN 7.7 9.5 8.0 EBITDA €M 771 648 864 OPERATING MARGIN €M 303 364 118 NET RESULT GROUP SHARE/€M - 251 168 126 118 303 416 FREE CASH FLOW €M 34 289 251 ECONOMIC REVENUE €BN 2.6 2.7 2.3 13

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