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Decline of operating cash flow in waste management by 22.4 % at constant exchange rates.... Operating cash flow less net investments = ~ 2 billion at constant exchange rates....... Veolia Water's recurring operating income rose by 16.3 % at constant exchange rates to 1,163.4 million.... Veolia Environmental...
Decline of operating cash flow in waste management by 22.4 % at constant exchange rates.... Operating cash flow less net investments = ~ 2 billion at constant exchange rates....... Veolia Water's recurring operating income rose by 16.3 % at constant exchange rates to 1,163.4 million.... Veolia Environmental...
Decline of operating cash flow in waste management by 22.4 % at constant exchange rates.... Operating cash flow less net investments = ~ 2 billion at constant exchange rates....... Veolia Water's recurring operating income rose by 16.3 % at constant exchange rates to 1,163.4 million.... Veolia Environmental...
Cash flow equals net income plus amortization and depreciation less preferred dividends....... 126m in cost savings (vs. an initial objective of 100m) Operating cash flow declined 1.7 % at constant exchange rates to 3, 956m, while operating cash flow margin was stable at 11.5 % Net income improvement...
Operating cash flow declined 1.7 % at constant exchange rates to Euro3, 956m, while operating cash flow margin was stable at 11.5 %... The change in revenue at constant exchange rates is principally explained by : the decrease in waste volumes in the Environmental Services division (volumes collected...
Veolia Water's recurring operating income rose by 16.3 % at constant exchange rates to 1,163.4 million.... Veolia Environmental Services ' (the waste management division) recurring operating income increased 17.6 % at constant exchange rates to 648.3 million....
Operating cash flow less net investments = ~ 2 billion at constant exchange rates.... The operating and financial performance during the first half of the year and the advancement of the disposal program allow the Group to confirm its objectives set for 2009 : to generate positive free cash flow after...
Growth of 4.3 % in operating cash flow at current exchange rates to Euro1, 035.0 million (up 2.6 % at constant exchange rates)... 31, 2009, an increase of 4.3 % at current exchange rates and 2.6 % at constant exchange rates....
Adjusted operating cash flow improvement : + 4.0 % growth to Euro3, 654M (+ 0.9 % at constant exchange rates) and adjusted operating cash flow margin improvement from 10.3 % in 2009 to 10.5 % in 2010.... Adjusted operating income growth of 8.5 % to Euro2, 056M (+ 5.3 % at constant exchange rates) and...
126m in cost savings (vs. an initial objective of 100m) Operating cash flow declined 1.7 % at constant exchange rates to 3, 956m, while operating cash flow margin was stable at 11.5 % Net income improvement of 44 % to 584m Proposal at the May 7, 2010, Annual General Meeting of Shareholders to maintain...