€ 2020 2021 2022 ECONOMIC REVENUE EBITDA €BN €M EXCL. 2022 ACQUISITIONS 118303 364 ECONOMIC REVENUE OPERATING MARGIN NET RESULT €BN €M GROUP SHARE/€M 2.6 2.7 2.3 118 303 416 FREE CASH FLOW LIQUIDITY OPERATING MARGIN €M €BN €M NET DEBT NET DEBT/EBITDA FREE CASH FLOW €M €M 13 437.77081520.84585.9342 966 12.1846152 - 1.16211778619.14687.7430.81522.9982