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Investor Presentaiton

Our Annual Long-Term Track Record on Key Financial MetricsĀ¹ Driving Top and Bottom-Line Improvement FY 2010 FY 2022 12-Year Change Organic Revenue Growth +0% +6% +4% avg / year Adjusted Operating Margin 19.6% 30.8% +1,120 bps ~90 bps / year Adjusted Earnings Per Share $3.48 $13.39 +12% CAGR Free Cash Flow $0.7B $3.0B +13% CAGR +1,600 bps Free Cash Flow Margin 8.2% 24.2% ~130 bps/year Shares Outstanding2 332.3M 205.4M ~38% Net Reduction Return on Invested Capital (ROIC) AON 2 +1,890 bps ~160 bps / year The results presented on this page are non-GAAP measures that are reconciled to their corresponding U.S. GAAP measures in the Appendices of the presentation. Calculated as the change in actual shares outstanding from December 31, 2010 to December 31, 2022. 11.7% 30.6% 6
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