EFTA Document EFTA01382514
Amendment No. 3 to Form 3-1 Table of Contents NEW ALBERTSON'S BUSINESS OF SUPERVALU INC. AND SUBSIDIARIES Combined Statements of Cash Flows (In millions) Cash flows from operating activities: February 21, 2013 February 23, 2012 February 24, 2011 Net loss $ (535) (990) (2,059) Adjustments to reconcile net loss to net cash provided by operating activities Goodwill and intangible asset impairment charges 170 1.000 1.668 Property, plant and equipment impairment charges 58 9
Summary
Amendment No. 3 to Form 3-1 Table of Contents NEW ALBERTSON'S BUSINESS OF SUPERVALU INC. AND SUBSIDIARIES Combined Statements of Cash Flows (In millions) Cash flows from operating activities: February 21, 2013 February 23, 2012 February 24, 2011 Net loss $ (535) (990) (2,059) Adjustments to reconcile net loss to net cash provided by operating activities Goodwill and intangible asset impairment charges 170 1.000 1.668 Property, plant and equipment impairment charges 58 9
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