14. Cash generated from operations

Continuing operations £mDiscontinued operations
£m
2012
Total
£m
Continuing operations
£m
Discontinued operations
£m
2011
Total
£m
Profit from operations42.8103.2146.0171.9106.8278.7
Adjustments for:
Amortisation of intangible assets17.517.517.817.8
Restructuring charges57.03.860.87.01.98.9
Demerger costs15.710.025.7
Gains relating to employee benefits plans(13.2)(2.0)(15.2)
Depreciation43.19.852.944.112.256.3
EBITDA176.1126.8302.9227.6118.9346.5
Decrease/(increase) in inventories39.5(7.2)32.3(32.6)(5.1)(37.7)
Decrease/(increase) in trade receivables13.6(10.9)2.7(24.0)2.2(21.8)
(Decrease)/increase in trade payables(31.6)(8.7)(40.3)5.2(6.3)(1.1)
Increase in other working capital balances(10.3)(24.8)(35.1)(13.9)(12.3)(26.2)
Net decrease/(increase) in trade and other working capital11.2(51.6)(40.4)(65.3)(21.5)(86.8)
Net operating outflow related to assets and liabilities classified as held for sale0.70.41.1
Outflow related to restructuring charges(11.4)(20.5)(31.9)(9.3)(3.9)(13.2)
Outflow related to demerger costs(12.5)(6.6)(19.1)
Additional pension funding contributions(45.2)(2.1)(47.3)(11.5)(1.7)(13.2)
Cash generated from operations118.946.4165.3141.591.8233.3