Operating ActivitiesAug '25May '25Feb '25Nov '24Aug '24May '24Feb '24Nov '23Aug '23May '23Feb '23Nov '22Aug '22May '22

Net Income

2,895

3,219

4,508

4,886

5,301

5,700

Depreciation & Amortization

777

775

783

792

793

796

Stock Based Compensation

711

709

730

777

791

804

Other Adjustments

-137

-218

-521

-531

-571

-587

Changes in Trade Receivables

-160

-257

-64

-623

-20

-329

Changes in Inventories

189

120

111

-132

492

908

Changes in Other Operating Activities

-749

-650

307

952

1,103

137

Cash from Operating Activities

3,526

3,698

5,854

6,121

7,889

7,429

Investing ActivitiesAug '25May '25Feb '25Nov '24Aug '24May '24Feb '24Nov '23Aug '23May '23Feb '23Nov '22Aug '22May '22

Capital Expenditure

-517

-430

-543

-603

-679

-812

Proceeds from Sale of Property, Plant & Equipment

—

—

—

—

—

—

Purchases of Investments

-2,621

-3,234

-4,094

-4,645

-4,591

-4,767

Proceeds from Sale of Investments

2,962

3,381

4,056

5,022

5,594

6,488

Other Investing Activities

—

8

—

—

—

-15

Cash from Investing Activities

-168

-275

-579

-221

310

894

Financing ActivitiesAug '25May '25Feb '25Nov '24Aug '24May '24Feb '24Nov '23Aug '23May '23Feb '23Nov '22Aug '22May '22

Issuance of Long-Term Debt

—

—

—

—

—

—

Repayments of Long-Term Debt

—

-1,000

—

—

—

—

Net Issuance / (Repayments) of Long-Term Debt

—

-1,000

—

—

—

—

Issuance of Common Shares

547

551

590

685

699

667

Repurchases of Common Shares

-1,927

-2,985

-3,822

-4,199

-4,301

-4,250

Net Issuance / (Repurchases) of Common Shares

-1,380

-2,434

-3,232

-3,514

-3,602

-3,583

Common Share Dividends Paid

-2,333

-2,300

-2,269

-2,237

-2,203

-2,169

Other Financing Activities

-83

-86

-93

-99

-112

-136

Cash from Financing Activities

-4,796

-5,820

-5,596

-5,807

-5,911

-5,888

Free Cash FlowAug '25May '25Feb '25Nov '24Aug '24May '24Feb '24Nov '23Aug '23May '23Feb '23Nov '22Aug '22May '22

Free Cash Flow

3,009

3,268

5,311

5,518

7,210

6,617

NOPAT

2,828.8

3,067.4

4,196.3

4,570.5

4,931.7

5,369.1

Levered Free Cash Flow

2,595

2,034

5,166

5,895

7,010

6,729

Unlevered Free Cash Flow

2,528.8

2,882.4

4,854.3

5,579.5

6,640.7

6,398.1

Net Change in Cash

-1,438

-2,397

-321

93

2,288

2,435