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 Key figures

Simplified income statement at 31/03/11

(€m)

2010/11

2009/10

Variation

Revenues 108,0 103,4 + 4%
Operating profit on ordinary activities 12,6 10,1 + 25%
Operating margin on ordinary activities 11,7% 9,7%  
Operating profit 12,6 7,0* + 80%
Net profit, group share 6,9 3,3* + 113%
Net margin 6,4% 3,1%  

Summary cash flow statement, year ended 31/03/2011

(€m)

2010/11

2009/10

Free cash flow 8,7 6,7
Change in working capital 1,2 2
Net cash flow from operating activities 9,8 8,8
Net cash flow from investing activities (1,4) (0,7)
Net cash flow from financing activities (3,1) (3,0)
Change in cash & equivalents 5,3 5,1

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