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

Net Income

727

211

794

1,163

1,051

1,500

Depreciation & Amortization

190

199

198

190

188

207

Stock Based Compensation

185

165

169

192

183

186

Other Adjustments

17

27

-102

-79

-64

-276

Changes in Trade Receivables

-215

-93

779

-631

-312

100

Changes in Inventories

-610

219

448

132

-679

210

Changes in Other Operating Activities

-72

-265

-494

82

27

692

Cash from Operating Activities

222

463

1,792

1,049

394

2,619

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

Capital Expenditure

-207

-100

-81

-129

-120

-213

Proceeds from Sale of Property, Plant & Equipment

—

—

—

—

—

—

Purchases of Investments

-355

-570

-580

-1,116

-968

-1,430

Proceeds from Sale of Investments

503

684

614

1,161

922

1,359

Other Investing Activities

—

-1

-2

10

—

-6

Cash from Investing Activities

-59

14

-49

-74

-166

-290

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

Issuance of Long-Term Debt

—

—

—

—

—

—

Repayments of Long-Term Debt

—

-1,000

-500

—

—

—

Net Issuance / (Repayments) of Long-Term Debt

—

-1,000

-500

—

—

—

Issuance of Common Shares

127

151

55

214

131

190

Repurchases of Common Shares

-126

-199

-506

-1,096

-1,184

-1,036

Net Issuance / (Repurchases) of Common Shares

1

-48

-451

-882

-1,053

-846

Common Share Dividends Paid

-591

-591

-594

-557

-558

-560

Other Financing Activities

-8

-5

-61

-9

-11

-14

Cash from Financing Activities

-598

-1,644

-1,106

-1,448

-1,622

-1,420

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

Free Cash Flow

15

363

1,711

920

274

2,406

NOPAT

730.9

213

741.3

1,136.7

972.2

1,343.6

Levered Free Cash Flow

28

-736

365

1,438

467

2,396

Unlevered Free Cash Flow

31.9

266

812.3

1,411.7

388.2

2,239.6

Net Change in Cash

-435

-1,167

637

-473

-1,394

909