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Investor Presentaiton

Cash Generation Supports Reinvestment And Debt Reduction Generate Strong Cash Flows Reduce Debt Levels Free Cash Flow - $ Billions Adj. Net Debt $ Billions $2.1 > $4.0 $3.6 $0.1 2009 2010 - 2014 Average 2015 - 2019 Average 2024 Goal Cash returned $0.3B $2.7B to shareholders: $17 $11 $8 $15 2009 2010 - 2014 Average 2015-2019 Average 2024 Goal Net pension liability: $9B $11B $8B 90 $0 Note: Adjusted for special items; non-GAAP financial measures reconciled in Appendix 15
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