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 | | Cash Flow $Mil | | | Fiscal year-end:
12 | TTM = Trailing 12 Months | | | 2006 | 2007 | 2008 | TTM | | Operating Cash Flow | 280 | 530 | 402 | 273 | | - Capital Spending | 290 | 419 | 454 | 371 | | = Free Cash Flow | -9 | 112 | -52 | -98 |
 | | Balance Sheet |  |
 |  |  | | Assets | $Mil | | Cash | 34.0 | | Other Current Assets | 770.0 | | Long-Term Assets | 1,783.0 | | Total | 2,587.0 |
| | | Liabilities and Equity | $Mil | | Current Liabilities | 280.9 | | Long-Term Liabilities | 1,015.4 | | Shareholders' Equity | 1,290.6 | | Total | 2,587.0 |
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