Test

Cash Return on Invested Capital (“CROIC”)
Unlevered free cash flow
Net cash provided by operating activities 18434 17272 12039 6842 5475 4180
(-) Purchases of PPE -25133 -14717 -10648 -8901 -5311 -4587
(+) Proceeds from sale of PPE 1897 1067 798
(+) after tax financing income/expense, net 515 243 161 51 70 11
Unlevered free cash flow -4287 3865 2350 -2008 234 -396