MarginsNet marginFCF marginFY2025: net 6.9% · free cash flow 29.1% of revenue
Cash engineOperating cash flowFree cash flowFY2025: $19.03B operating cash − $1.21B capex = $17.82B free cash flow
Returns on capitalReturn on equityReturn on assetsreturn on equity 102% (FY2014) → -129% (FY2025) · on assets 3.2%