Operating ActivitiesLTMDec '24Dec '23Dec '22Dec '21Dec '20Dec '19Dec '18Dec '17Dec '16Dec '15

Net Income

1,463

6,657

9,448

1,352

-4,939

6,457

-606

-21,080

-8,537

8,165

-4,094

Depreciation & Amortization

1,211

1,184

1,179

1,184

2,360

3,464

3,541

6,582

6,194

7,070

4,847

Other Adjustments

103

-668

-6,139

490

4,848

-9,833

3,964

17,451

-461

1,222

331

Changes in Trade Receivables

-1,860

-1,454

-440

-1,792

1,531

312

-1,960

393

-3,902

1,460

-314

Changes in Inventories

-1,899

-1,528

-1,321

-980

-306

1,105

-1,581

-573

324

-815

-541

Changes in Accounts Payable

1,626

688

713

1,639

-390

-582

2,679

666

169

1,228

-996

Changes in Income Taxes Payable

-729

-334

-1,041

-547

-373

-1,441

-1,950

-1,404

-1,924

-7,280

-2,486

Changes in Unearned Revenue

1,321

1,597

1,468

2,262

-1,113

-247

1,476

-563

1,912

1,725

—

Changes in Other Operating Activities

-253

-1,433

1,323

2,307

1,863

4,331

3,174

3,507

12,779

-7,882

15,194

Cash from Operating Activities

7,765

5,817

4,609

4,027

-850

1,025

8,838

3,210

5,840

7,503

11,856

Investing ActivitiesLTMDec '24Dec '23Dec '22Dec '21Dec '20Dec '19Dec '18Dec '17Dec '16Dec '15

Capital Expenditure

-1,109

-1,032

-862

-662

-1,113

-1,579

-2,216

-6,627

-6,642

-7,199

-7,309

Proceeds from Sale of Property, Plant & Equipment

88

114

60

153

151

203

379

4,093

5,530

4,424

3,020

Purchases of Intangible Assets

—

—

—

—

—

-151

-282

-320

-454

-749

-778

Proceeds from Sale of Investments

330

4,287

8,018

3,841

2,855

-935

1,783

2,534

—

-3,731

—

Payments for Business Acquisitions

-369

-135

-41

-30

-69

-85

-68

-1

-2,722

-2,271

-12,027

Proceeds from Business Divestments

—

499

—

15

22,356

20,562

6,988

8,454

4,672

65,247

81,898

Other Investing Activities

-1,238

-5,399

-3,207

-1,046

-2,802

-1,346

2,393

10,146

4,994

-10,318

-5,317

Cash from Investing Activities

-984

-556

7,693

10,369

25,822

19,297

12,197

18,925

6,728

62,566

61,613

Financing ActivitiesLTMDec '24Dec '23Dec '22Dec '21Dec '20Dec '19Dec '18Dec '17Dec '16Dec '15

Issuance of Short-Term Debt

16

2

-71

42

-704

-4,168

280

-4,343

1,699

-1,136

-24,459

Net Issuance / (Repayments) of Short-Term Debt

16

2

-71

42

-704

-4,168

280

-4,343

1,699

-1,136

-24,459

Issuance of Long-Term Debt

—

—

—

—

359

15,028

2,185

3,120

10,879

1,492

13,951

Repayments of Long-Term Debt

-1,359

-788

-3,282

-11,088

-36,510

-29,632

-16,307

-20,319

-25,220

-58,768

-47,038

Net Issuance / (Repayments) of Long-Term Debt

-1,359

-788

-3,282

-11,088

-36,151

-14,604

-14,122

-17,199

-14,341

-57,276

-33,087

Issuance of Common Shares

—

—

—

—

—

—

—

—

—

—

—

Repurchases of Common Shares

-7,222

-5,827

-1,233

-1,048

-107

-28

—

—

-2,550

-21,429

-1,099

Net Issuance / (Repurchases) of Common Shares

-7,222

-5,827

-1,233

-1,048

-107

-28

—

—

-2,550

-21,429

-1,099

Issuance of Preferred Shares

—

—

—

—

—

—

—

—

—

—

—

Repurchases of Preferred Shares

—

—

-5,795

-144

—

—

—

—

—

—

—

Net Issuance / (Repurchases) of Preferred Shares

—

—

-5,795

-144

—

—

—

—

—

—

—

Common Share Dividends Paid

-1,377

-1,008

-589

-639

-575

-648

-649

-4,474

-8,650

-8,806

-9,295

Other Financing Activities

-76

894

2,358

7,293

-7,859

-402

-1,642

-5,790

5,358

-1,818

-8,112

Cash from Financing Activities

-8,031

-6,628

-10,511

-13,540

-45,256

-19,762

-15,686

-27,345

-23,927

-91,253

-69,547

Free Cash FlowLTMDec '24Dec '23Dec '22Dec '21Dec '20Dec '19Dec '18Dec '17Dec '16Dec '15

Free Cash Flow

6,656

4,785

3,747

3,365

-1,963

-554

6,622

-3,417

-802

304

4,547

NOPAT

7,030.8

4,804.8

3,415.6

2,182.4

917.4

-678.1

39,154.3

-15,859

-4,777.6

11,938.9

2,420.6

Levered Free Cash Flow

6,887

4,912

7,294

-5,795

-42,500

-8,491

-14,158

-42,756

-8,750

-64,720

-54,982

Unlevered Free Cash Flow

7,198.8

3,946.8

4,874.6

7,385.4

1,845.4

4,372.9

44,277.3

-14,271

8,034.4

-1,214.1

11,129.6

Net Change in Cash

-1,250

-1,367

1,791

856

-20,284

560

5,349

-5,210

-11,359

-21,184

3,922