Operating ActivitiesJun '25Dec '24Jun '24Dec '23Jun '23Dec '22Jun '22Dec '21Jun '21Dec '20Jun '20Dec '19Jun '19Dec '18

Net Income

60.6

11.1

24.4

-21.4

-3.6

-14.1

Depreciation & Amortization

12.9

10.9

8.9

5.5

2.7

2.2

Stock Based Compensation

18.3

18.7

14.5

10.9

8.9

5.7

Other Adjustments

1.2

3

2.4

27.5

0.9

1.3

Changes in Trade Receivables

-6.6

-16.7

-17.7

-14

-19.9

-14.5

Changes in Inventories

5.7

-0.4

-7.9

-17.1

-11

-3.9

Changes in Accounts Payable

-0.4

-3.2

1.8

3.3

3.7

-1.7

Changes in Accrued Expenses

-2.4

7.3

0.6

10.1

4.2

3.7

Changes in Unearned Revenue

-0.2

0.3

-0.5

0.1

—

—

Changes in Other Operating Activities

-0.3

-4.4

-4.2

-3.4

-0.3

3

Cash from Operating Activities

88.8

26.5

22.3

1.4

-14.5

-18.3

Investing ActivitiesJun '25Dec '24Jun '24Dec '23Jun '23Dec '22Jun '22Dec '21Jun '21Dec '20Jun '20Dec '19Jun '19Dec '18

Capital Expenditure

-36.1

-61.8

-67.9

-149.5

-2.3

-5.7

Purchases of Intangible Assets

—

0.4

—

-27.2

—

—

Purchases of Investments

—

—

—

—

—

-1

Proceeds from Sale of Investments

—

—

—

—

—

28.7

Payments for Business Acquisitions

—

—

—

-14.9

—

—

Cash from Investing Activities

-36.1

-61.4

-67.9

-191.6

-2.3

22

Financing ActivitiesJun '25Dec '24Jun '24Dec '23Jun '23Dec '22Jun '22Dec '21Jun '21Dec '20Jun '20Dec '19Jun '19Dec '18

Issuance of Long-Term Debt

—

—

—

—

445.4

58.5

Repayments of Long-Term Debt

—

—

—

—

—

-36.1

Net Issuance / (Repayments) of Long-Term Debt

—

—

—

—

445.4

22.5

Issuance of Common Shares

10.1

9

13.8

2.4

4.7

144.8

Net Issuance / (Repurchases) of Common Shares

10.1

9

13.8

2.4

4.7

144.8

Other Financing Activities

—

—

—

—

-52.1

—

Cash from Financing Activities

10.1

9

13.8

2.4

398

167.3

Free Cash FlowJun '25Dec '24Jun '24Dec '23Jun '23Dec '22Jun '22Dec '21Jun '21Dec '20Jun '20Dec '19Jun '19Dec '18

Free Cash Flow

52.6

-35.3

-45.7

-148.1

-16.8

-24

NOPAT

61.7

12.4

24.8

-23.9

-3

-12.4

Levered Free Cash Flow

39.7

-40.3

-44.9

-172.6

438.7

6

Unlevered Free Cash Flow

40.9

-39

-44.5

-175

-6

-14.7

Net Change in Cash

62.8

-25.8

-31.8

-187.8

381.2

171