| (in millions of USD) | Q1 FY 26 | Q4 FY 25 | Q3 FY 25 | Q2 FY 25 | Q1 FY 25 | Q4 FY 24 | Q3 FY 24 | Q2 FY 24 | Q1 FY 24 | Q4 FY 23 | Q3 FY 23 | Q2 FY 23 | Q1 FY 23 | Q4 FY 22 | Q3 FY 22 | Q2 FY 22 | Q1 FY 22 | Q4 FY 21 | Q3 FY 21 | Q2 FY 21 | Q1 FY 21 | Q4 FY 20 | Q3 FY 20 | Q2 FY 20 | Q1 FY 20 | Q4 FY 19 | Q3 FY 19 | Q2 FY 19 | Q1 FY 19 | Q4 FY 18 | Q3 FY 18 | Q2 FY 18 | Q1 FY 18 | Q4 FY 17 | Q3 FY 17 | Q2 FY 17 | Q1 FY 17 | Q4 FY 16 | Q3 FY 16 | Q2 FY 16 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Net Income | ||||||||||||||||||||||||||||||||||||||||
| Net Income | 403.4 | 266.0 | 403.7 | 298.7 | 217.2 | 207.3 | 317.8 | 428.0 | 584.0 | 424.3 | 577.2 | 812.1 | 637.3 | 631.4 | 914.3 | 1,209.6 | ||||||||||||||||||||||||
| (in millions of USD) | TTM | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 | FY2018 | FY2017 | FY2016 | FY2015 | FY2014 | FY2013 | FY2012 | FY2011 | FY2010 | FY2009 | FY2008 | FY2007 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Net Income | ||||||||||||||||||||
| Net Income | 1,371.9 | 1,185.6 | 1,537.1 | 2,450.9 | 3,862.7 | 3,214.1 | 570.8 | 677.9 | 1,255.8 | 805.8 | 360.0 | (145.2) | 91.7 | 163.5 | 142.3 | 265.7 | 140.7 | (8.2) | ||
| Cash From Operating Activities | ||||||||||||||||||||
| Depreciation & Amortization | 576.9 | 551.4 | 478.9 | 437.8 | 384.2 | 347.7 | 325.8 | 321.1 | 317.2 | 299.0 | 296.1 | 294.6 | 263.3 | 230.9 | ||||||
| Cash From Investing Activities | ||||||||||||||||||||
| Capital Expenditures | 780.5 | 948.0 | 1,868.0 | 1,657.9 | 908.9 | 1,006.2 | 1,198.1 | 451.9 | 239.4 | 164.9 | 198.2 | 114.5 | 111.8 | 186.8 | 223.5 | |||||
| Cash From Financing Activities | ||||||||||||||||||||
| Debt Issued | 2,747.2 | 3,553.7 | 2,482.9 | 1,365.7 | 1,465.3 | 1,516.6 | 2,523.4 | 1,574.0 | 445.6 | 620.0 | 473.9 | 207.9 | 1,822.1 | 424.0 | 1,050.0 | |||||
| Change In Cash & Equivalents | ||||||||||||||||||||
| Effects Of Exchange Rate Changes | - | - | - | - | - | - | - | - | - | - | - | - | - | - | ||||||
| Free Cash Flow | ||||||||||||||||||||
| Free Cash Flow | 664.7 | 501.5 | (23.5) | 1,862.0 | 3,551.5 | 1,197.9 | (211.0) | 944.3 | 1,176.1 | 574.5 | 654.6 | 939.1 | 516.4 | 125.3 | 222.2 | |||||
| 1,107.4 |
| 1,062.9 |
| 1,000.2 |
| 712.2 |
| 438.8 |
| 197.0 |
| 104.3 |
| 78.8 |
| 190.8 |
| 123.7 |
| 152.6 |
| 196.7 |
| 204.8 |
| 269.9 |
| 397.9 |
| 362.6 |
| 225.5 |
| 303.2 |
| 151.0 |
| 152.9 |
| 198.7 |
| 3.8 |
| 154.4 |
| 140.4 |
| Cash From Operating Activities | ||||||||||||||||||||||||||||||||||||||||
| Depreciation & Amortization | 159.3 | 146.3 | 138.5 | 132.9 | 133.8 | 125.6 | 121.1 | 117.1 | 115.3 | 111.7 | 107.4 | 111.0 | 107.7 | 102.2 | 98.7 | 95.7 | 87.5 | 86.3 | 87.4 | 87.0 | 86.9 | 85.1 | 81.8 | 78.7 | 80.3 | 80.5 | 79.5 | 80.9 | 80.2 | 80.6 | 81.4 | 79.1 | 76.1 | 74.9 | 75.2 | 73.8 | 75.1 | 73.1 | 74.2 | 74.8 |
| Amortization Of Intangibles | 7.8 | 7.2 | 6.9 | 6.9 | 6.9 | 7.6 | 7.6 | 7.6 | 7.7 | 8.1 | 8.2 | 10.9 | 6.9 | 6.7 | 6.8 | 7.2 | 7.2 | |||||||||||||||||||||||
| Stock-Based Compensation | 17.5 | 23.6 | 14.2 | 14.1 | 17.0 | 25.1 | 12.8 | 13.0 | 15.6 | 21.9 | 12.0 | 11.7 | 16.1 | 19.6 | 12.1 | 11.1 | 16.5 | |||||||||||||||||||||||
| Deffered Income Tax | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | ||||||||||||||||||||||
| Asset Impairments | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | ||||||||||||||||||||||
| Gains & Losses On Investments | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |||||||||||||||||||||||
| Change In Accounts Receivable | 373.8 | (187.3) | 61.0 | (19.8) | 303.6 | (147.8) | (210.4) | 36.3 | 130.8 | (273.7) | (260.9) | 17.0 | 70.9 | (307.0) | (326.7) | 297.0 | ||||||||||||||||||||||||
| Change In Inventory | 174.4 | 338.3 | (64.5) | 163.4 | (13.8) | 69.5 | (28.2) | 46.6 | 133.0 | (44.0) | (102.4) | 55.2 | (141.1) | (258.9) | (270.6) | 130.6 | (14.3) | |||||||||||||||||||||||
| Change In Accounts Payable | 156.9 | (31.7) | (4.8) | (5.3) | 248.6 | (55.8) | (13.9) | (27.3) | 29.5 | 24.1 | (57.5) | (114.0) | 117.3 | (136.3) | (264.3) | 187.5 | (76.0) | |||||||||||||||||||||||
| Change In Other Working Capital | (21.0) | 18.4 | 34.6 | (7.8) | 32.1 | (8.3) | 11.9 | (2.0) | 12.2 | 13.3 | 13.4 | 4.9 | (7.8) | (2.4) | 15.8 | 12.9 | ||||||||||||||||||||||||
| Other Operating Activities | (2.3) | 2.9 | (8.0) | (0.9) | (4.2) | (7.3) | (10.5) | (6.4) | 18.7 | 0.9 | (12.2) | 1.5 | (10.0) | 0.1 | (12.4) | (0.6) | ||||||||||||||||||||||||
| Cash From Operating Activities | 148.3 | 272.7 | 722.6 | 301.6 | 152.6 | 346.9 | 759.9 | 382.6 | 355.2 | 864.6 | 1,113.7 | 807.8 | 733.8 | 1,143.4 | 1,496.2 | |||||||||||||||||||||||||
| Cash From Investing Activities | ||||||||||||||||||||||||||||||||||||||||
| Capital Expenditures | 138.0 | 188.5 | 165.7 | 288.3 | 305.5 | 453.2 | 621.4 | 419.2 | 374.3 | 514.9 | 558.4 | 358.3 | 226.3 | 344.2 | 241.2 | 164.1 | 159.3 | 204.5 | 214.6 | 277.2 | 309.9 | 343.2 | 327.6 | 309.7 | 217.5 | 158.3 | 154.1 | 85.1 | 54.4 | 62.9 | 70.7 | 55.2 | 50.6 | 37.2 | 42.8 | 43.3 | 41.7 | 75.0 | 59.8 | 35.7 |
| Acquisitions | - | - | - | - | - | - | - | - | - | - | - | - | - | - | 47.6 | - | - | - | ||||||||||||||||||||||
| Divestitures | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | ||||||||||||||||||||||
| Purchase Of Investments | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |||||||||||||||||||||||
| Sales Of Investments | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |||||||||||||||||||||||
| Other Investing Activities | 1.1 | 5.7 | (5.6) | (2.6) | 1.1 | (7.3) | 4.4 | 25.6 | (14.3) | 0.1 | 5.9 | 217.9 | (2.3) | (6.5) | (4.1) | (4.8) | (0.4) | |||||||||||||||||||||||
| Cash From Investing Activities | (139.1) | (370.0) | (120.5) | (305.7) | (178.8) | 51.2 | (852.0) | (209.6) | (292.9) | (734.8) | (452.5) | (473.3) | (309.6) | (468.9) | (518.1) | |||||||||||||||||||||||||
| Cash From Financing Activities | ||||||||||||||||||||||||||||||||||||||||
| Debt Issued | 599.5 | 1,255.5 | 408.0 | 484.3 | 1,405.9 | 337.4 | 1,185.7 | 580.6 | 379.3 | 299.1 | 345.6 | 327.1 | 393.9 | 414.3 | 348.3 | 382.9 | 319.8 | 456.6 | 343.0 | 419.5 | 297.4 | 911.5 | 295.8 | 1,099.8 | 216.3 | 1,199.3 | 128.2 | 125.2 | 121.2 | 117.9 | 110.0 | 124.6 | 93.1 | - | 450.2 | 51.2 | - | 376.9 | 12.9 | 63.7 |
| Debt Repaid | 612.4 | 824.4 | 408.3 | 902.6 | 432.5 | 792.1 | 528.0 | 590.1 | 413.9 | 324.6 | 316.5 | 321.1 | 405.3 | 380.4 | 363.1 | 414.7 | 349.3 | 426.7 | ||||||||||||||||||||||
| Common Stock Issuance | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |||||||||||||||||||||||
| Common Stock Repurchased | 115.1 | 240.3 | 210.4 | 200.0 | 250.1 | 295.1 | 309.9 | 309.1 | 298.1 | 386.7 | 331.3 | 380.2 | 354.0 | 413.0 | 481.7 | 517.0 | 389.2 | |||||||||||||||||||||||
| Dividends Paid | 72.5 | 73.1 | 73.9 | 74.7 | 69.5 | 70.4 | 71.6 | 72.6 | 68.0 | 69.5 | 70.7 | 72.3 | 58.8 | 60.0 | 62.1 | 64.3 | 50.7 | 51.9 | ||||||||||||||||||||||
| Other Financing Activities | (22.3) | (20.8) | (5.1) | (31.7) | (30.5) | (3.5) | 1.2 | 8.8 | (23.1) | (12.7) | 2.0 | (17.6) | (23.4) | (27.5) | (6.1) | (60.2) | ||||||||||||||||||||||||
| Cash From Financing Activities | (222.8) | 96.8 | (289.7) | (724.8) | 623.3 | (823.8) | 277.4 | (382.4) | (423.8) | (494.4) | (371.0) | (464.1) | (447.6) | (466.6) | (564.6) | |||||||||||||||||||||||||
| Change In Cash & Equivalents | ||||||||||||||||||||||||||||||||||||||||
| Effects Of Exchange Rate Changes | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Net Change In Cash | (213.5) | (0.4) | 312.4 | (728.9) | 597.1 | (425.7) | 185.2 | (209.4) | (361.6) | (364.5) | 290.1 | (129.6) | (23.5) | 207.9 | 413.4 | (182.4) | (54.3) | |||||||||||||||||||||||
| Cash Beginning Of Period | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |||||||||||||||||||||||
| Cash End Of Period | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | ||||||||||||||||||||||
| Free Cash Flow | ||||||||||||||||||||||||||||||||||||||||
| Free Cash Flow | 10.3 | 84.2 | 556.9 | 13.3 | (152.9) | (106.3) | 138.5 | (36.6) | (19.1) | 349.7 | 555.3 | 449.5 | 507.5 | 799.2 | 1,254.9 | 837.7 | 659.6 | 519.4 | 416.2 | 310.0 | (47.7) | (205.2) | (175.9) | 176.3 | (6.3) | 250.8 | 290.1 | 276.4 | 127.1 | 428.1 | 349.8 | 270.8 | 127.3 | 154.9 | 183.1 | 37.7 | 198.8 | 132.4 | 136.6 | 122.3 |
| Free Cash Flow To Equity | (2.6) | 515.3 | 556.6 | (405.0) | 820.5 | (561.0) | 796.2 | (46.0) | (53.8) | 324.1 | 584.4 | 455.5 | 496.1 | 833.1 | 1,240.2 | 805.9 | 630.1 | |||||||||||||||||||||||
| 463.4 |
| 394.6 |
| 225.2 |
| 222.6 |
| 224.7 |
| 221.4 |
| 208.8 |
| 138.1 |
| Amortization Of Intangibles | 28.8 | 27.9 | 30.5 | 34.0 | 27.8 | 29.2 | 29.0 | 29.6 | 27.8 | 29.2 | 28.8 | 24.2 | 26.5 | 31.8 | 35.6 | 40.0 | 45.6 | 53.6 | 41.3 | 12.0 |
| Stock-Based Compensation | 69.4 | 69.0 | 66.6 | 61.7 | 59.2 | 57.7 | 55.6 | 47.6 | 43.3 | 36.2 | 31.7 | 30.2 | 24.0 | 15.5 | 12.5 | 17.3 | 14.7 | 17.6 | 14.3 | 8.1 |
| Deffered Income Tax | - | 95.3 | (42.6) | 55.7 | 34.2 | 318.6 | 45.7 | 48.3 | 59.2 | (139.9) | 51.0 | (103.3) | (21.2) | 26.7 | 50.5 | 30.4 | 44.3 | 88.9 | 31.3 | 12.7 |
| Asset Impairments | - | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 19.4 | 0.0 | 0.0 | 0.0 | 132.8 | 428.5 | 260.0 | 0.3 | 8.3 | - | 12.8 | - | - | - |
| Gains & Losses On Investments | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Change In Accounts Receivable | 227.6 | 157.5 | (191.1) | (446.8) | 110.6 | 944.5 | 111.9 | (237.8) | 145.9 | 139.1 | 106.6 | (311.3) | 2.2 | 78.2 | (86.0) | 100.6 | 196.6 | (72.2) | (311.0) | (57.7) |
| Change In Inventory | 611.7 | 423.4 | 221.0 | (232.3) | (413.3) | 1,685.8 | 150.6 | (217.9) | 246.2 | 242.9 | 115.6 | (488.0) | (68.7) | 108.0 | (13.8) | 85.5 | 261.1 | (175.2) | 18.7 | 119.6 |
| Change In Accounts Payable | 115.1 | 206.8 | (67.4) | (30.1) | (289.0) | 557.7 | 182.5 | (86.4) | 37.9 | 96.1 | 106.5 | (227.1) | (76.1) | 40.1 | (32.6) | 56.6 | 71.2 | (8.9) | (88.5) | (48.8) |
| Change In Other Working Capital | 24.2 | 77.3 | 13.7 | 23.8 | 6.9 | 2.5 | 1.5 | (13.7) | 3.5 | (4.0) | (12.0) | 0.5 | (2.4) | (13.7) | 1.3 | (5.7) | 15.3 | (4.1) | 155.8 | 14.4 |
| Other Operating Activities | (8.3) | (10.2) | (5.5) | (19.7) | (1.8) | (3.2) | 31.0 | 1.4 | (1.2) | 14.1 | 20.7 | 19.9 | 6.2 | - | - | - | - | - | - | - |
| Cash From Operating Activities | 1,445.2 | 1,449.5 | 1,844.5 | 3,519.9 | 4,460.4 | 2,204.1 | 987.0 | 1,396.3 | 1,415.5 | 739.4 | 852.8 | 1,053.6 | 628.2 | 312.2 | 445.7 | 486.4 | 169.3 | 445.6 | 770.3 | 418.2 |
| 167.0 |
| 133.4 |
| 330.1 |
| 412.5 |
| 395.2 |
| Acquisitions | - | 175.8 | - | - | 134.1 | - | 60.0 | 97.1 | 434.0 | 6.2 | 123.4 | 45.0 | 1,669.4 | - | - | - | - | - | - | - |
| Divestitures | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Purchase Of Investments | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | 20.4 | 3.6 |
| Sales Of Investments | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | 32.8 | - |
| Other Investing Activities | (1.4) | (1.4) | 8.3 | 221.6 | (15.8) | (6.8) | (2.6) | (5.8) | (6.9) | (32.0) | (8.6) | (16.9) | (34.0) | (2.5) | 21.4 | (16.0) | 15.7 | 15.9 | (2.0) | (0.2) |
| Cash From Investing Activities | (935.3) | (975.0) | (1,303.4) | (1,970.2) | (1,879.3) | (999.4) | (993.3) | (576.7) | (895.3) | (139.1) | (312.9) | (142.6) | (1,747.3) | (152.8) | (191.6) | (235.8) | (149.1) | (373.9) | (669.2) | (1,246.6) |
| 10.1 |
| 556.6 |
| 1,268.4 |
| - |
| - |
| Debt Repaid | 2,747.7 | 2,567.9 | 2,324.1 | 1,367.6 | 1,507.5 | 1,522.0 | 2,177.5 | 1,264.2 | 455.5 | 609.9 | 729.0 | 625.9 | 635.6 | 518.0 | 1,258.8 | 7.7 | 347.0 | 1,690.6 | - | - |
| Common Stock Issuance | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Common Stock Repurchased | 765.8 | 900.9 | 1,212.2 | 1,452.2 | 1,800.9 | 1,060.6 | 106.5 | 348.6 | 523.6 | 252.2 | 25.0 | - | - | - | - | - | - | - | 501.8 | 533.7 |
| Dividends Paid | 294.1 | 291.2 | 282.6 | 271.3 | 237.2 | 213.0 | 209.2 | 200.3 | 168.9 | 145.6 | 135.8 | 127.6 | 105.4 | 94.8 | 87.6 | 81.9 | 65.0 | 68.7 | 71.3 | 55.6 |
| Other Financing Activities | (79.9) | (88.1) | (16.7) | (51.7) | (116.3) | (50.4) | (37.1) | (27.6) | (18.5) | (25.7) | (9.5) | (10.5) | (28.2) | - | (60.1) | (48.6) | (52.3) | 343.3 | - | - |
| Cash From Financing Activities | (1,140.4) | (294.3) | (1,352.6) | (1,777.1) | (2,196.6) | (1,329.5) | (7.0) | (266.6) | (720.9) | (413.3) | (425.4) | (545.3) | 1,085.3 | (140.1) | (268.9) | (46.3) | 157.3 | (78.8) | (113.3) | 827.5 |
| - |
| - |
| - |
| - |
| - |
| - |
| Net Change In Cash | (630.4) | 180.3 | (811.5) | (227.5) | 384.6 | (124.8) | (13.3) | 553.0 | (200.7) | 187.0 | 114.4 | - | - | - | - | - | 177.5 | (7.2) | (12.3) | (0.9) |
| Cash Beginning Of Period | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Cash End Of Period | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| 319.3 |
| 35.9 |
| 115.5 |
| 357.8 |
| 23.0 |
| Free Cash Flow To Equity | 664.3 | 1,487.3 | 135.4 | 1,860.1 | 3,509.3 | 1,192.5 | 134.8 | 1,254.2 | 1,166.2 | 584.6 | 399.5 | 521.1 | 1,703.0 | 31.3 | 13.3 | 321.7 | 245.5 | (306.6) | - | - |
| 7.2 |
| 7.2 |
| 7.4 |
| 7.4 |
| 7.7 |
| 6.9 |
| 7.2 |
| 7.2 |
| 8.8 |
| 6.7 |
| 7.0 |
| 7.0 |
| 7.4 |
| 6.6 |
| 6.8 |
| 6.9 |
| 7.1 |
| 7.3 |
| 7.4 |
| 7.4 |
| 7.1 |
| 7.2 |
| 7.2 |
| 21.0 |
| 9.9 |
| 9.8 |
| 17.0 |
| 18.7 |
| 9.5 |
| 9.5 |
| 17.8 |
| 14.4 |
| 8.8 |
| 9.1 |
| 15.3 |
| 14.5 |
| 8.0 |
| 8.0 |
| 12.8 |
| 11.6 |
| 6.9 |
| 6.4 |
| 11.3 |
| 7.9 |
| 5.9 |
| 7.2 |
| - |
| - |
| - |
| 14.8 |
| 10.4 |
| 14.6 |
| 5.9 |
| 13.4 |
| 11.3 |
| 11.6 |
| 12.1 |
| - |
| 23.9 |
| 12.0 |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| 447.2 |
| 23.6 |
| 321.8 |
| 204.6 |
| 394.5 |
| 53.9 |
| 58.3 |
| (154.4) |
| 154.1 |
| (142.6) |
| (85.6) |
| (70.6) |
| 61.1 |
| (184.4) |
| 48.0 |
| 163.5 |
| 118.8 |
| (54.2) |
| 36.1 |
| 3.7 |
| 153.4 |
| (43.2) |
| (29.4) |
| 103.6 |
| 633.4 |
| 413.0 |
| 264.9 |
| 374.6 |
| 234.4 |
| 38.2 |
| (77.5) |
| (44.5) |
| (78.0) |
| (35.5) |
| (64.9) |
| (39.5) |
| 5.3 |
| 69.9 |
| 90.3 |
| 80.7 |
| 31.2 |
| 67.3 |
| 57.6 |
| 86.8 |
| 13.2 |
| 76.0 |
| 108.9 |
| 85.2 |
| 48.7 |
| 63.2 |
| 360.7 |
| 60.7 |
| 0.6 |
| 69.5 |
| 51.6 |
| (32.3) |
| 1.1 |
| (58.5) |
| 3.2 |
| (62.5) |
| (14.9) |
| 48.9 |
| 66.3 |
| (37.2) |
| 44.9 |
| (45.4) |
| 133.8 |
| (10.7) |
| (49.2) |
| 53.7 |
| (19.4) |
| (16.3) |
| 20.4 |
| 4.3 |
| (5.8) |
| 7.2 |
| 3.9 |
| (11.1) |
| 1.5 |
| (6.1) |
| (0.0) |
| (7.3) |
| (0.3) |
| (3.7) |
| 6.4 |
| 0.6 |
| 0.1 |
| (6.0) |
| 9.5 |
| (5.4) |
| (2.1) |
| (0.2) |
| (0.7) |
| (10.6) |
| 11.2 |
| (0.3) |
| (0.8) |
| (1.5) |
| (0.7) |
| 9.3 |
| 17.2 |
| 4.7 |
| (0.3) |
| 2.4 |
| (1.1) |
| (0.6) |
| 0.7 |
| (1.4) |
| 0.3 |
| (0.1) |
| 0.0 |
| 6.0 |
| 8.2 |
| (0.0) |
| (0.1) |
| 19.3 |
| 0.2 |
| 1.0 |
| 1,001.9 |
| 819.0 |
| 723.9 |
| 630.8 |
| 587.2 |
| 262.2 |
| 138.0 |
| 151.8 |
| 486.0 |
| 211.3 |
| 409.1 |
| 444.2 |
| 361.5 |
| 181.6 |
| 491.1 |
| 420.4 |
| 326.0 |
| 177.9 |
| 192.1 |
| 225.9 |
| 81.0 |
| 240.4 |
| 207.4 |
| 196.4 |
| 158.0 |
| - |
| - |
| - |
| - |
| 59.0 |
| - |
| - |
| - |
| 3.7 |
| - |
| 93.4 |
| - |
| 37.6 |
| 396.4 |
| - |
| - |
| 5.5 |
| - |
| - |
| - |
| 109.1 |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| (3.5) |
| (1.0) |
| (1.9) |
| (0.4) |
| (0.9) |
| (0.4) |
| (0.8) |
| (0.5) |
| (1.7) |
| (2.7) |
| (0.9) |
| (0.4) |
| (5.4) |
| (0.6) |
| (0.7) |
| (0.2) |
| (1.6) |
| (1.1) |
| (2.4) |
| (26.9) |
| (2.9) |
| (1.5) |
| (1.2) |
| (510.8) |
| (381.4) |
| (201.0) |
| (213.6) |
| (275.3) |
| (309.5) |
| (343.2) |
| (316.7) |
| (159.3) |
| (174.0) |
| (349.2) |
| (110.5) |
| (24.6) |
| (92.4) |
| (171.3) |
| (132.7) |
| (501.0) |
| (90.4) |
| (36.2) |
| (47.2) |
| (40.9) |
| (14.8) |
| (86.4) |
| (167.3) |
| (34.5) |
| 382.5 |
| 408.6 |
| 304.3 |
| 532.0 |
| 305.9 |
| 1,103.8 |
| 235.8 |
| 895.0 |
| 120.0 |
| 133.9 |
| 115.3 |
| 109.3 |
| 115.0 |
| 118.1 |
| 113.0 |
| 278.6 |
| 294.9 |
| 35.0 |
| 1.4 |
| 633.7 |
| 10.0 |
| 81.0 |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| 337.6 |
| 393.2 |
| - |
| - |
| - |
| - |
| 106.5 |
| 56.2 |
| 115.0 |
| 93.1 |
| 84.3 |
| 330.2 |
| 75.0 |
| 49.1 |
| 69.3 |
| 15.1 |
| 99.1 |
| 76.8 |
| 61.3 |
| - |
| - |
| - |
| 53.4 |
| 54.9 |
| 52.7 |
| 52.6 |
| 52.6 |
| 52.6 |
| 51.5 |
| 51.8 |
| 52.8 |
| 53.5 |
| 42.2 |
| 43.8 |
| 44.1 |
| 44.3 |
| 36.8 |
| 36.7 |
| 37.2 |
| 37.5 |
| 34.1 |
| 34.1 |
| 34.1 |
| 34.1 |
| (22.5) |
| (23.0) |
| (4.8) |
| (6.1) |
| (16.6) |
| (20.6) |
| (1.6) |
| (8.8) |
| (6.2) |
| (20.3) |
| (1.5) |
| (0.0) |
| (5.7) |
| - |
| - |
| (3.1) |
| (5.2) |
| - |
| (4.8) |
| - |
| (3.5) |
| (15.0) |
| 1.0 |
| 3.7 |
| (673.5) |
| (491.9) |
| (374.7) |
| (435.3) |
| (443.3) |
| (76.2) |
| 306.3 |
| (64.3) |
| (65.4) |
| (183.7) |
| 176.0 |
| (161.0) |
| (155.3) |
| (126.3) |
| (375.5) |
| (124.0) |
| (90.1) |
| (131.2) |
| (229.1) |
| 14.2 |
| (98.1) |
| (100.3) |
| (331.0) |
| (30.2) |
| (47.8) |
| 148.2 |
| (18.0) |
| (131.4) |
| (123.5) |
| 101.0 |
| (229.2) |
| 261.4 |
| (146.4) |
| 235.9 |
| 172.8 |
| 181.5 |
| (37.2) |
| (55.7) |
| 163.7 |
| (265.0) |
| (43.7) |
| - |
| 192.8 |
| (58.0) |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| - |
| 549.3 |
| 376.7 |
| 320.9 |
| (54.5) |
| 174.3 |
| (186.0) |
| 172.3 |
| (25.8) |
| 555.1 |
| 298.3 |
| 267.7 |
| 133.1 |
| 436.8 |
| 344.8 |
| 277.3 |
| 107.4 |
| - |
| 338.4 |
| 54.0 |
| - |
| (124.4) |
| 139.5 |
| 104.9 |