Group Cash Flow

Year ended 31 March
2006
€'m
2007
€'m
2008
€'m
2009
€'m
2010
€'m
 
Operating cash flow 142.9 127.4 129.0 304.9 297.8
Capital expenditure 57.7 60.7 87.5 57.0 47.3
Acquisitions 54.7 105.7 176.6 101.7 133.6

View the Group Cash Flow in Excel format (14 KB, document opens in a new window)