Operating ActivitiesNov '25May '25Nov '24May '24Dec '23Jun '23Dec '22Jun '22Dec '21Jun '21Nov '20May '20Nov '19May '19

Net Income

3,628

3,502

3,367

2,193

2,886

2,542

Depreciation & Amortization

392

426

431

426

440

432

Share-Based Compensation Expense

986

956

915

918

869

849

Other Adjustments

-103

-253

-88

-209

-224

-137

Changes in Trade Receivables

-359

334

-461

604

-544

385

Changes in Accounts Payable

-30

7

-1

45

-20

-29

Changes in Accrued Expenses

-103

-92

241

-45

182

-36

Changes in Income Taxes Payable

50

-61

-19

87

-432

421

Changes in Unearned Revenue

696

75

573

-264

569

-33

Changes in Other Operating Activities

308

-221

25

-641

-256

-562

Cash from Operating Activities

5,358

4,673

4,942

3,114

3,470

3,832

Investing ActivitiesNov '25May '25Nov '24May '24Dec '23Jun '23Dec '22Jun '22Dec '21Jun '21Nov '20May '20Nov '19May '19

Capital Expenditure

-106

-73

-105

-78

-138

-222

Proceeds from Sale of Property, Plant & Equipment

—

—

—

—

—

—

Purchases of Investments

-609

-742

-59

—

—

—

Proceeds from Sale of Investments

440

248

195

304

455

734

Payments for Business Acquisitions

—

—

—

—

—

—

Other Investing Activities

-21

-195

-59

-49

-19

-34

Cash from Investing Activities

-425

-762

-28

177

298

478

Financing ActivitiesNov '25May '25Nov '24May '24Dec '23Jun '23Dec '22Jun '22Dec '21Jun '21Nov '20May '20Nov '19May '19

Issuance of Long-Term Debt

—

1,997

—

1,997

—

—

Repayments of Long-Term Debt

—

-1,500

—

—

—

-500

Net Issuance / (Repayments) of Long-Term Debt

—

497

—

1,997

—

-500

Issuance of Common Shares

252

96

264

97

244

70

Repurchases of Common Shares

-4,531

-6,750

-5,000

-4,500

-2,000

-2,400

Net Issuance / (Repurchases) of Common Shares

-4,279

-6,654

-4,736

-4,403

-1,756

-2,330

Other Financing Activities

-152

-472

-218

-364

-332

-264

Cash from Financing Activities

-4,431

-6,629

-4,954

-2,770

-2,088

-3,094

Free Cash FlowNov '25May '25Nov '24May '24Dec '23Jun '23Dec '22Jun '22Dec '21Jun '21Nov '20May '20Nov '19May '19

Free Cash Flow

5,252

4,600

4,837

3,036

3,332

3,610

NOPAT

3,614.1

3,493

3,296.9

2,112.8

2,795.8

2,512.3

Levered Free Cash Flow

4,835

4,060

4,512

3,720

3,231

2,013

Unlevered Free Cash Flow

4,821.1

3,554

4,441.9

1,642.8

3,140.8

2,483.3

Net Change in Cash

502

-2,718

-40

521

1,680

1,216