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

Net Income

433

418.3

416.4

404.4

365.7

339.8

Depreciation & Amortization

28.5

29

29.2

29.3

28.7

28.1

Stock Based Compensation

35.1

40.5

38.1

25.5

24.8

18.1

Other Adjustments

23

59

25.3

-7.1

20.4

21.1

Changes in Trade Receivables

-61.8

-77

-18.9

2.2

-22

-29.3

Changes in Accounts Payable

1.4

11.5

15.1

-3

-1.1

-3.7

Changes in Accrued Expenses

60.5

28.2

14.9

16.9

41.1

61.7

Changes in Unearned Revenue

163.4

170.4

102

150.7

152.2

147.9

Changes in Other Operating Activities

-10.4

-38.6

-12.9

-9.7

-19

-21.5

Cash from Operating Activities

711.2

614.1

582

608.8

574.5

539.9

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

Capital Expenditure

-34.5

-34.3

-41

-36.5

-38.9

-37.1

Purchases of Intangible Assets

—

—

—

—

—

—

Other Investing Activities

0.2

0.2

0.2

8.2

10.1

10.1

Cash from Investing Activities

-34.2

-34.1

-40.8

-28.3

-28.7

-26.9

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

Issuance of Short-Term Debt

—

—

—

—

—

—

Repayments of Short-Term Debt

—

—

—

—

—

—

Net Issuance / (Repayments) of Short-Term Debt

—

—

—

—

—

—

Issuance of Long-Term Debt

—

—

—

—

—

—

Repayments of Long-Term Debt

—

—

—

—

—

—

Net Issuance / (Repayments) of Long-Term Debt

—

—

—

—

—

—

Issuance of Common Shares

35.5

33.8

34.1

15.9

16.1

15.6

Repurchases of Common Shares

-1,087.3

-1,167.6

—

-169.9

—

—

Net Issuance / (Repurchases) of Common Shares

-1,051.7

-1,133.8

34.1

-154

16.1

15.6

Other Financing Activities

—

—

—

—

—

—

Cash from Financing Activities

-1,051.7

-1,048.9

-507.6

-154

16.1

-39.4

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

Free Cash Flow

676.8

579.8

540.9

572.3

535.7

502.8

NOPAT

422.7

403.2

394.8

379.7

345.4

326.3

Levered Free Cash Flow

641.9

584.5

523.6

552

528.7

515.2

Unlevered Free Cash Flow

631.5

569.4

502

527.3

508.5

501.7

Net Change in Cash

-374.7

-468.8

33.5

426.5

561.9

473.5