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

Net Income

2,565

2,745

2,276

2,240

1,817

1,496

1,671

1,923

1,949

1,180

752

Depreciation & Amortization

2,745

2,267

2,071

2,038

1,999

1,671

1,574

1,477

1,376

1,301

1,245

Share-Based Compensation Expense

169

118

93

84

108

94

86

89

101

90

72

Other Adjustments

718.5

291

530

319

288

469

463

110

-48

340

822

Changes in Trade Receivables

-536

-313

-161

-329

28

-179

-53

-16

-271

-78

-178

Changes in Accounts Payable

167

281

90

393

206

-37

243

203

126

192

-97

Changes in Other Operating Activities

20

1

-180

-209

-108

-111

-110

-216

-53

-22

-88

Cash from Operating Activities

5,856

5,390

4,719

4,536

4,338

3,403

3,874

3,570

3,180

3,003

2,528

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

Capital Expenditure

-3,454

-3,231

-2,895

-2,587

-1,904

-1,632

-1,818

-1,694

-1,509

-1,339

-1,233

Proceeds from Sale of Property, Plant & Equipment

167

158

78

27

96

885

49

208

99

43

145

Purchases of Investments

—

—

—

—

—

—

—

—

—

—

—

Proceeds from Sale of Investments

—

—

—

—

—

—

—

—

—

—

—

Payments for Business Acquisitions

-7,101

-7,488

-170

-377

-75

-4,085

-521

-460

-198

-608

-554

Other Investing Activities

326.5

-40

-104

-126

-11

-15

-86

-223

-12

-25

34

Cash from Investing Activities

-10,461

-10,601

-3,091

-3,063

-1,894

-4,847

-2,376

-2,169

-1,620

-1,929

-1,608

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

Issuance of Long-Term Debt

28,620

24,578

21,306

8,688

7,948

9,420

13,237

359

1,479

3,057

2,337

Repayments of Long-Term Debt

-23,023

-17,870

-20,394

-7,328

-8,404

-9,629

-10,088

-499

-1,907

-2,682

-2,764

Net Issuance / (Repayments) of Long-Term Debt

5,597

6,708

912

1,360

-456

-209

3,149

-140

-428

375

-427

Issuance of Common Shares

65

53

44

44

66

63

67

52

95

63

77

Repurchases of Common Shares

-53

-314

-1,333

-1,539

-1,378

-436

-281

-1,033

-797

-755

-615

Net Issuance / (Repurchases) of Common Shares

12

-261

-1,289

-1,495

-1,312

-373

-214

-981

-702

-692

-538

Common Share Dividends Paid

-1,302

-1,210

-1,136

-1,077

-970

-927

-876

-802

-750

-726

-695

Other Financing Activities

-79

-82

-11

-4

-162

-50

-95

415

519

-41

-525

Cash from Financing Activities

4,228

5,155

-1,524

-1,216

-2,900

-1,559

1,964

-1,508

-1,361

-1,084

-2,185

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

Free Cash Flow

2,402

2,159

1,824

1,949

2,434

1,771

2,056

1,876

1,671

1,664

1,295

NOPAT

3,273.2

3,225.3

2,693.4

2,583.1

2,293.5

1,923.5

2,148.1

2,257.3

2,344.8

1,487

1,450.8

Levered Free Cash Flow

7,639

8,772

2,302

3,233

1,553

1,178

4,708

1,555

1,461

1,689

153

Unlevered Free Cash Flow

2,751.2

2,543.3

1,779.4

2,218.1

2,486.5

1,814.5

2,037.1

2,027.3

2,284.8

1,619

1,277.8

Net Change in Cash

-377

-56

104

257

-456

-3,003

3,462

-107

199

-10

-1,265