Three months ended June 30,
Six months ended June 30,
2026
2025
$'m
Profit for the period
35
5
30
—
Income tax charge
16
10
17
6
Net finance expense
64
67
124
117
Depreciation and amortization
121
114
240
225
Exceptional operating items
4
14
8
Movement in working capital
166
113
(332)
(315)
Exceptional costs paid, including restructuring
(4)
(10)
(7)
Cash generated from operations
402
319
77
43
The tabular disclosure on cash generated from operating activities.
No definition available.