Financial model.

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Back to Our performance

Operational Cash £726M (Cash Pool)

  • Risk £454m
  • Savings £110m
  • Investment Management £121m
  • Other £41m

Cash Pool

  • Reinvestment:
    New Business Strain £27m
  • Investor Returns:
    Dividend £225m
  • Capital Stock £474m

Capital Stock

  • 2009 B/F: £1.8bn
  • Cash Pool: £0.5bn
  • Capital: £0.8bn
  • 2009 C/F: £3.1bn

Decrease in Capital

  • Total £0.1bn

Increase in Capital

  • Total £0.9bn
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