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  "presentationDate": "2022-02-01 00:00:00",
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  "notes": "The table shows segmental free cash flow, adjustments for taxes, and a reconciliation to continuing operations free cash flow.",
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      "text": "A reconciliation of free cash flow is provided in the Group Financial Review in the Preliminary Results announcement. 1. 2020 restated to reflect the new operating structure of the Group.",
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      "text": "Year ended 31 December (£m) 2020 2021 Δ Continuing operations British Gas Services & Solutions 260 170 (35%) British Gas Energy (29) 16 Nm Centrica Business Solutions (50) 22 Nm Bord Gáis Energy 35 3 (91%) Energy Marketing & Trading 241 206 (15%) Upstream 193 835 333% Other 37 62 68% Segmental free cash flow 687 1,314 91% Discontinued operations Direct Energy 401 2,597 548% Group total free cash flow excluding tax Taxes paid from continuing operations (2) (140) 6,900% Taxes paid from discontinued operations (25) (9) (64%) Total Group adjusted free cash flow 1,061 3,762 255% Less discontinued operations free cash flow (including tax) (376) (2,588) 588% Free cash flow from continuing operations 685 1,174 71%",
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