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Homepage annual reveiw Chairman's introduction Director's overview A year in review
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Financial statements
Cash Flow Statement for the year ended 31 March 2001
Note 2001
£m
2000
£m
Net cash inflow from operating activities 12 25.6 14.7
Return on investments and servicing of finance
Interest received 0.7 0.6
Taxation
Taxation paid (0.2 ) (0.2 )
Capital expenditure and financial investments
Purchase of tangible fixed assets (23.6 ) (13.2 )
Increase in cash 13 2.5 1.9
 
 
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