Operating ActivitiesOct '25Jul '25Apr '25Jan '25Oct '24Jul '24Apr '24Jan '24Oct '23Jul '23Apr '23Jan '23

Net Income

43

67

62

23

16

29

Depreciation & Amortization

24

24

24

15

67

25

Share-Based Compensation Expense

138

144

128

131

135

148

Other Adjustments

44

44

39

41

24

23.5

Changes in Trade Receivables

-47

-73

274

-157

-87

-70

Changes in Accounts Payable

1

-1

-2

2

1

-1

Changes in Accrued Expenses

39

13

-99

15

45

-25

Changes in Unearned Revenue

11

-9

-134

277

26

5

Changes in Other Operating Activities

-35

-43

-51

-69

-18

-49

Cash from Operating Activities

218

167

241

286

159

86

Investing ActivitiesOct '25Jul '25Apr '25Jan '25Oct '24Jul '24Apr '24Jan '24Oct '23Jul '23Apr '23Jan '23

Capital Expenditure

-4

-2

-1

-1

-1

-5

Proceeds from Sale of Property, Plant & Equipment

—

—

—

—

—

—

Purchases of Intangible Assets

-3

-3

-2

-1

-4

-3

Purchases of Investments

-336

-199

-521

-559

-474

-320

Proceeds from Sale of Investments

501

442.5

407

384.5

380

485

Payments for Business Acquisitions

-53

-1.5

-3

—

—

-28

Cash from Investing Activities

105

238

-120

-177

-99

156

Financing ActivitiesOct '25Jul '25Apr '25Jan '25Oct '24Jul '24Apr '24Jan '24Oct '23Jul '23Apr '23Jan '23

Issuance of Long-Term Debt

—

—

—

—

—

—

Repayments of Long-Term Debt

-510

—

—

-120

-240

-40

Net Issuance / (Repayments) of Long-Term Debt

-510

—

—

-120

-240

-40

Issuance of Common Shares

1

24

9

28

17

29

Repurchases of Common Shares

-46

-48

-54

-35

-33

-39

Net Issuance / (Repurchases) of Common Shares

-45

-24

-45

-7

-16

-10

Other Financing Activities

—

2

—

—

—

—

Cash from Financing Activities

-555

-22

-45

-7

-265

-50

Free Cash FlowOct '25Jul '25Apr '25Jan '25Oct '24Jul '24Apr '24Jan '24Oct '23Jul '23Apr '23Jan '23

Free Cash Flow

214

165

240

285

158

81

NOPAT

19.8

41

35.6

5.9

-10.2

-45.9

Levered Free Cash Flow

-431

49

-201

142

-104

-61

Unlevered Free Cash Flow

55.8

23

-227.4

244.9

109.8

-95.9

Net Change in Cash

-232

383

76

102

-205

192