Operating ActivitiesNov '25Aug '25May '25Feb '25Oct '24Jul '24Apr '24Jan '24Oct '23Jul '23Apr '23Jan '23Oct '22Jul '22

Net Income

1,740.7

1,785.8

1,807.8

1,814.6

1,735.7

1,632.5

Depreciation & Amortization

495.3

481.4

465.3

446.5

416.2

400.6

Share-Based Compensation Expense

56.3

63.9

87.3

90

94.9

95.3

Other Adjustments

-36.9

-45

-75.5

-3

17.3

43.2

Changes in Trade Receivables

-106.4

-11.7

-14.3

1.6

-12.9

7.2

Changes in Inventories

-195.9

-267.9

-294

-156.1

-109.3

174.6

Changes in Accounts Payable

-29.8

57.8

47.8

-57

81.3

27.7

Changes in Accrued Expenses

90.6

-24.2

125.4

81

54.3

-41.9

Changes in Income Taxes Payable

-215.3

-113.8

-84.2

155.2

92.6

-2

Changes in Unearned Revenue

51.8

37

38.9

42.4

53.6

65.5

Changes in Other Operating Activities

-10.6

-72.8

-99.6

-142.5

-111.3

-96

Cash from Operating Activities

1,861

1,911.8

2,026.2

2,272.7

2,255.4

2,344.6

Investing ActivitiesNov '25Aug '25May '25Feb '25Oct '24Jul '24Apr '24Jan '24Oct '23Jul '23Apr '23Jan '23Oct '22Jul '22

Capital Expenditure

-732.6

-743.6

-710.8

-689.2

-660.8

-645.2

Payments for Business Acquisitions

—

—

—

-154.1

—

—

Other Investing Activities

47.5

49.5

99.7

45.2

12.7

13.1

Cash from Investing Activities

-712

-851.5

-773.5

-798.2

-784

-637.1

Financing ActivitiesNov '25Aug '25May '25Feb '25Oct '24Jul '24Apr '24Jan '24Oct '23Jul '23Apr '23Jan '23Oct '22Jul '22

Issuance of Common Shares

18.1

19.5

16.6

19.8

24.8

32.1

Repurchases of Common Shares

-1,269.8

-1,492.2

-1,800.3

-1,672.3

-1,391.5

-1,191.8

Net Issuance / (Repurchases) of Common Shares

-1,251.8

-1,472.6

-1,783.7

-1,652.5

-1,366.7

-1,159.7

Other Financing Activities

-15.3

-12.2

—

-0

—

—

Cash from Financing Activities

-1,263

-1,480.8

-1,791.9

-1,652.5

-1,366.8

-1,159.7

Free Cash FlowNov '25Aug '25May '25Feb '25Oct '24Jul '24Apr '24Jan '24Oct '23Jul '23Apr '23Jan '23Oct '22Jul '22

Free Cash Flow

1,128.4

1,168.1

1,315.4

1,583.5

1,594.7

1,699.4

NOPAT

1,710.8

1,750.2

1,766.4

1,765

1,684.1

1,583.5

Levered Free Cash Flow

1,194.1

1,139.7

1,296.6

1,494.9

1,552.3

1,515.7

Unlevered Free Cash Flow

1,164.2

1,104.2

1,255.2

1,445.3

1,500.7

1,466.6

Net Change in Cash

-114

-420.5

-539.1

-178

104.6

547.8