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

Net Income

706

731

833

767

348

380

Depreciation & Amortization

1,359

1,312

1,275

1,238

1,187

1,125

Other Adjustments

834

959

700

697

704

946

Changes in Income Taxes Payable

-527

-514

-499

-460

-446

-390

Changes in Other Operating Activities

-8

-33

-22

-45

-97

-32

Cash from Operating Activities

2,622

2,454

2,286

2,196

2,030

2,026

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

Capital Expenditure

-72

-75

-72

-67

-55

-46

Purchases of Investments

-229

-197

-183

-8

21

24

Proceeds from Sale of Investments

14

16

3

7

—

—

Payments for Business Acquisitions

-1,409

-1,328

-1,354

-1,519

-1,370

-1,549

Proceeds from Business Divestments

—

—

—

—

—

—

Other Investing Activities

-234

50

43

19

-17

-26

Cash from Investing Activities

-1,925

-1,531

-1,561

-1,567

-1,416

-1,592

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

Issuance of Short-Term Debt

122

-124

-10

73

132

82

Net Issuance / (Repayments) of Short-Term Debt

122

-124

-10

73

132

82

Issuance of Long-Term Debt

513

473

296

803

-216

-43

Repayments of Long-Term Debt

-370

-340

-281

-289

-287

-300

Net Issuance / (Repayments) of Long-Term Debt

143

133

15

514

-503

-343

Common Share Dividends Paid

-85

-85

-85

-85

-85

-85

Preferred Share Dividends Paid

—

—

—

—

—

—

Other Financing Activities

-217

-220

-247

-386

-233

-202

Cash from Financing Activities

-37

-297

-328

114

343

484

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

Free Cash Flow

2,550

2,379

2,214

2,129

1,975

1,980

NOPAT

1,261.6

1,187.9

1,150.2

1,109.9

811.6

825.2

Levered Free Cash Flow

1,723

1,430

1,521

2,020

564

774

Unlevered Free Cash Flow

2,013.6

1,877.9

1,832.2

1,775.9

1,400.6

1,482.2

Net Change in Cash

660

626

397

743

957

918