For the year ended 31 December 2025 2024 m m Net cash generated from operating activities 6,342 10,125 Cash related to adjusting items 3,267 824 Dividends from associates (369) (406) Tax paid 2,926 1,854 Net capital expenditure (612) (434) Other 1 Operating cash flow 11,554 11,964 Adjusted profit from operations* 11,572 11,890 Cash conversion ratio** 63% 370% Operating cash flow conversion ratio 100% 101% * See page 49 for a reconciliation of profit from operations to adjusted profit from operations
Raw is in raw rope form and sliced into small pucks
While many vapers love that feeling and cant vape without it, some dont like it
Sources: ProPublica, based on CAB trading data from the Municipal Securities Rulemaking Board, fund holdings data from Morningstar
And then the transport Transportation Department would put in my trailer at night, and then you know, (17:29): I take it on the morning or whatever
The show has also been credited with prompting a 30% increase in female interest in the sport