Cash flow

  2011 2012 2013 2014 2015
  £m £m £m £m £m
           
Net cash inflow from operating activities 292 348 365 357 325
Capital expenditure (174) (163) (152) (192) (215)
Acquisitions and Investments (102) (156) (11) (3) (5)
Proceeds from bank loans, net of financing costs 99 167 - - -
Net proceeds of IPO - - 194 - -
Refinancing and repayment of borrowings - - (179) (70) (137)
Interest paid, net of interest received (115) (108) (92) (56) (41)
Dividends - - - (20) (64)
Other (4) (7) - - -
Net cash (outflow)/inflow for the year (4) 81 125 16 (137)
  • Note
  • As reported figures. 2011 on a 53 week basis.