Comparing FY14 with FY10, what reasonable conclusions an analyst might make about the company's efficiency? Financial statements
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Financial statements Income statements Revenue Profit before interest and taxation (EBIT) Net interest payable Taxation Minorities Profit for the year Balance sheets Fixed assets Current asset investments, cash at bank and in hand Other current assets Total assets Interest bearing debt (long term) Other creditors and provisions (current) Total liabilities Net assets Shareholders' funds Equity minority interests Capital employed Cash flow Working capital movements Net cash inflow from operating activities FY10 FY11 FY12 GBP m GBP m GBP m 4,390 844 -80 -186 -94 484 3,510 316 3,624 3,717 8,167 700 704 933 -53 864 FY13 FY14 GBP m GBP m -54 -98 -163 -195 -208 -349 -99 -105 -125 352 293 296 3,667 4,758 10,431 218 290 561 5 859 558 514 643 1,258 1,634 4,384 4,399 5,691 12,250 13,799 -602 -1,053 -1,535 -3,523 -3,707 -1,223 -1,054 -1,102 -2,377 -3,108 71 975 11,366 1,579 -1,825 -2,107 -2,637 -5,900 -6,815 2,292 3,054 6,350 2,559 6,984 2,161 2,006 2,309 5,572 6,165 398 286 745 778 819 2,559 2,292 3,054 6,350 6,984 -188 -579 -167 645 85 1,568 11,483 682 107 2,292 Financial statements Income statements Revenue Profit before interest and taxation (EBIT) Net interest payable Taxation Minorities Profit for the year Balance sheets Fixed assets Current asset investments, cash at bank and in hand Other current assets Total assets Interest bearing debt (long term) Other creditors and provisions (current) Total liabilities Net assets Shareholders' funds Equity minority interests Capital employed Cash flow Working capital movements Net cash inflow from operating activities FY10 FY11 FY12 GBP m GBP m GBP m 4,390 844 -80 -186 -94 484 3,510 316 3,624 3,717 8,167 700 704 933 -53 864 FY13 FY14 GBP m GBP m -54 -98 -163 -195 -208 -349 -99 -105 -125 352 293 296 3,667 4,758 10,431 218 290 561 5 859 558 514 643 1,258 1,634 4,384 4,399 5,691 12,250 13,799 -602 -1,053 -1,535 -3,523 -3,707 -1,223 -1,054 -1,102 -2,377 -3,108 71 975 11,366 1,579 -1,825 -2,107 -2,637 -5,900 -6,815 2,292 3,054 6,350 2,559 6,984 2,161 2,006 2,309 5,572 6,165 398 286 745 778 819 2,559 2,292 3,054 6,350 6,984 -188 -579 -167 645 85 1,568 11,483 682 107 2,292
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