Operating ActivitiesSep '25Jun '25Mar '25Dec '24Sep '24Jun '24Mar '24Dec '23Sep '23Jun '23Mar '23Dec '22Sep '22Jun '22

Net Income

43.6

-319.1

-269.7

-278.2

-332.3

-72.9

Depreciation & Amortization

56.3

56.5

57.6

56.7

56

55.3

Stock Based Compensation

368.2

305.8

283.4

272.1

222.4

240.6

Other Adjustments

236

175.5

206.3

155.2

195.4

239.2

Changes in Trade Receivables

-603.7

-240.9

-94.4

-86.6

-23.2

-94.1

Changes in Inventories

23.2

24.1

19.8

13.6

24.7

23.6

Changes in Accounts Payable

187.8

47.9

-59.8

91.1

114.5

149.7

Changes in Accrued Expenses

—

—

—

—

—

—

Changes in Unearned Revenue

-65.8

-56.3

-234.2

-235.4

-204.9

-177.4

Changes in Other Operating Activities

-21.5

-9

45.9

3.2

1.3

6.3

Cash from Operating Activities

265.9

-15.5

-45.1

-8.3

56.6

372.3

Investing ActivitiesSep '25Jun '25Mar '25Dec '24Sep '24Jun '24Mar '24Dec '23Sep '23Jun '23Mar '23Dec '22Sep '22Jun '22

Capital Expenditure

-44.5

-36.5

-30.3

-34.3

-40.5

-53.4

Purchases of Investments

-1,625.3

-1,865.2

-1,712

-1,712

-1,737.4

-1,728.4

Proceeds from Sale of Investments

2,023.2

1,723.4

1,730.6

1,629.5

1,492.5

1,501.2

Other Investing Activities

—

—

—

-0.1

—

—

Cash from Investing Activities

420.6

-110.8

64.5

-116.8

-304.6

-285.1

Financing ActivitiesSep '25Jun '25Mar '25Dec '24Sep '24Jun '24Mar '24Dec '23Sep '23Jun '23Mar '23Dec '22Sep '22Jun '22

Issuance of Long-Term Debt

—

—

—

—

—

—

Repayments of Long-Term Debt

—

—

—

—

—

—

Net Issuance / (Repayments) of Long-Term Debt

—

—

—

—

—

—

Issuance of Common Shares

244.6

274.9

326.5

303

297.6

214.3

Repurchases of Common Shares

—

—

—

—

—

—

Net Issuance / (Repurchases) of Common Shares

244.6

274.9

326.5

303

297.6

214.3

Other Financing Activities

-70.1

-43.3

-17.1

-8.8

4.8

18.4

Cash from Financing Activities

-319.5

231.6

309.3

294.2

302.4

232.8

Free Cash FlowSep '25Jun '25Mar '25Dec '24Sep '24Jun '24Mar '24Dec '23Sep '23Jun '23Mar '23Dec '22Sep '22Jun '22

Free Cash Flow

221.4

-52.1

-75.4

-42.6

16.1

318.9

NOPAT

890.4

-208.9

-143.2

-223.4

-181.6

83.9

Levered Free Cash Flow

179.2

-292.4

-470.7

-383.3

-381.1

-68.8

Unlevered Free Cash Flow

1,026

-182.2

-344.2

-328.5

-230.4

88.1

Net Change in Cash

366.9

105.3

328.8

169

54.4

319.9