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Common Stock Value 484.37484.31484.31484.23484.08484.04492.82492.79492.45492.47492.42492.46491.91492.05492.08492.12491.61491.62491.64491.65491.15491.16491.23491.30490.96490.98490.99490.92490.48490.44490.48490.52490.03490.12491.18492.07492.19492.28492.29492.39327.87327.88328.39328.55328.19328.23328.68329.13328.53328.59328.66330.31329.06329.16330.53331.71331.16NANANA
Weighted Average Number Of Diluted Shares Outstanding NA484.36484.42484.32NA490.96492.89492.70NA492.43492.44492.32NA492.07492.00492.00NA738.09NANANANANANANANANANANANANANANANANANANANANANANANANANANA0.33328.97329.04NA328.64329.46330.11NA329.87331.46332.03NA332.45334.80335.45
Weighted Average Number Of Shares Outstanding Basic NA484.32484.24484.13NA490.77492.70492.52NA492.32492.33492.21NA492.07492.00492.00NA737.45NANANANANANANANA490.92490.87NA490.470.49490.43NA0.490.49492.04NA0.490.49491.72NA328.05328.220.33NA0.33328.97329.04NA328.63329.44330.07NA329.74331.30331.81NA332.06334.27334.82
Earnings Per Share Basic 0.220.280.270.190.230.260.220.180.180.220.200.150.130.190.200.190.260.11NANA0.110.090.130.090.110.090.090.070.070.110.110.080.080.100.100.070.070.090.090.060.090.120.120.080.080.110.110.070.070.100.100.070.070.090.090.060.060.080.080.05
Earnings Per Share Diluted 0.220.280.270.190.230.260.220.180.180.220.210.150.130.190.200.190.260.11NANA0.110.090.130.090.110.090.090.070.070.110.110.080.080.100.100.070.070.090.090.060.090.120.120.080.080.110.110.070.070.100.100.070.070.090.090.060.060.080.080.05

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Revenue From Contract With Customer Excluding Assessed Tax 832.17916.27891.92748.35754.09840.43820.75658.01661.39729.70714.05590.68600.34650.20638.20535.55536.29583.70553.33487.90505.99556.47523.96429.07444.62487.74480.46408.74414.71450.44433.56375.25385.61423.99411.13352.74362.50399.75392.15330.91343.95384.87369.36313.39324.71362.15350.80299.71306.39340.18334.87289.46289.06323.93320.44271.64279.93305.12298.80253.04
Revenues 832.17916.27891.92748.35754.09840.43820.75658.01661.39729.70714.05590.68600.34650.20638.20535.55536.29583.70553.33487.90505.99556.47523.96429.07444.62487.74480.46408.74414.71450.44433.56375.25385.61423.99411.13352.74362.50399.75392.15330.91343.95384.87369.36313.39324.71362.15350.80299.71306.39340.18334.87289.46289.06323.93320.44271.64279.93305.12298.80253.04
Cost Of Goods And Service Excluding Depreciation Depletion And Amortization 405.46421.89410.29365.56370.31388.53384.19326.84328.08348.16336.78295.38297.73305.47297.86261.55NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Costs And Expenses 681.54724.47709.54615.92615.01663.30665.96545.77536.31586.02581.09499.01508.95523.35504.65447.36NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Selling General And Administrative Expense 245.54274.92271.55223.06218.56244.91255.33196.43190.36213.58219.99178.78187.54194.26183.48162.21159.09168.01171.25157.86154.79167.17161.89139.53135.76145.07143.38126.49123.68134.93129.67115.15126.32125.41126.55112.25117.60121.94118.62105.58111.92118.68110.52100.58106.61113.03109.5299.1398.08108.52106.0794.8293.06102.40101.7691.5092.5098.9196.9684.92
Operating Income Loss 150.63191.80182.38132.42139.07177.12154.79112.24125.08143.68132.9691.6791.39126.85133.5588.20NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Interest Paid Net 6.878.138.858.719.495.553.770.430.931.560.920.750.63-0.240.260.66NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Income Tax Expense Benefit 39.6748.3145.6230.2437.8744.2940.8828.2539.5037.2033.6919.9428.6433.2235.0927.2124.2829.3228.1612.1321.242.0822.6611.8320.5023.2624.6410.6734.8131.1332.4516.9914.5230.3229.1819.2520.0527.3927.2616.3316.6224.8024.8115.5913.2321.8221.2811.9512.1119.4920.0513.6613.0617.6118.5111.2110.9415.4616.6810.47
Income Taxes Paid Net 11.8340.5387.685.5933.2841.3072.0112.5714.6035.5057.5111.9631.4136.4851.150.72NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Net Income Loss 105.67136.91129.4094.39108.80127.78110.1488.2388.23107.62100.3072.4465.3493.8598.8592.6462.6279.58NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Comprehensive Income Net Of Tax 83.18146.97130.6788.68117.23121.64112.3988.49100.2495.2083.0274.9866.3987.2899.1292.3974.8885.5984.9125.6756.4085.8264.5246.5734.5366.0260.4245.5747.3855.5256.0744.2834.6946.6945.2741.8241.0036.3346.0023.13-1.3534.4343.5727.3054.4037.0634.6622.4012.9033.5532.2923.717.0528.0030.7319.33NANANANA

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Assets 2819.702816.202766.502658.622595.462639.962599.332138.892122.032112.482167.482131.141980.871904.811921.691876.881845.901806.071836.381771.481744.381764.791729.781272.071094.121129.571105.181050.701033.661046.53980.53924.87916.54921.51905.60873.01852.43862.34848.76801.26808.16826.63804.59765.66739.22760.86737.07707.44692.51706.03680.77662.81645.65632.42637.13614.21619.01NANANA
Liabilities 1489.101498.421530.441491.121439.891537.111257.11851.13854.83915.931021.911023.61898.82803.18871.01887.95904.54873.35973.55971.11928.63957.90977.51552.95382.22394.81409.37387.93379.74396.09363.06341.31347.99347.29347.28331.46328.40342.91351.52334.28345.49335.62329.05315.89300.96353.57352.26342.47337.55337.37336.47326.55321.65305.93323.95312.99321.04NANANA
Liabilities And Stockholders Equity 2819.702816.202766.502658.622595.462639.962599.332138.892122.032112.482167.482131.141980.871904.811921.691876.881845.901806.071836.381771.481744.381764.791729.781272.071094.121129.571105.181050.701033.661046.53980.53924.87916.54921.51905.60873.01852.43862.34848.76801.26808.16826.63804.59765.66739.22760.86737.07707.44692.51706.03680.77662.81645.65632.42637.13614.21619.01NANANA
Stockholders Equity 1330.591317.781236.061167.501155.571102.841342.221287.751267.201196.551145.571107.531082.051101.631050.68988.93941.36932.72862.83800.37815.75806.90752.26719.12711.91734.76695.81662.76653.92650.44617.46583.55568.54574.23558.32541.56524.03519.43497.24466.98462.68491.01475.54449.77438.25407.29384.81364.97354.96368.66344.31336.25324.00326.50NANA297.97NANANA

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Assets Current 442.62486.50474.29424.35406.64476.79463.98367.87348.62398.96507.00496.51352.38373.45376.32334.04314.78331.84363.10304.83309.79324.19319.85289.94286.02303.08288.47240.70262.80282.93361.63305.75290.17299.91286.59270.12313.88319.10299.06255.23283.96287.35273.46241.00274.44276.68257.79225.21205.99241.68210.31190.57175.82171.88169.48147.24151.02NANANA
Cash 89.60NANANA103.80NANANA95.30NANANA105.30NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Cash And Cash Equivalents At Carrying Value 89.6395.28106.70112.97103.83142.25154.75112.5095.35121.88220.96258.34105.30117.66128.53117.3298.4895.44134.8392.5894.28104.3698.47116.61115.48118.6587.8984.32107.05113.40194.84162.48142.78139.26126.47131.24134.57134.31109.6893.39108.37114.22101.5283.13118.22116.7391.6082.4865.0893.7162.0659.6846.2730.2225.8223.3420.9120.2519.2914.15
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 89.6395.28106.70112.97103.83142.25154.75112.5095.35121.88220.96258.34105.30117.66128.53117.3298.4895.44NANA94.28NANANA115.48NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Accounts Receivable Net Current 196.08226.45205.18177.25178.21198.54176.57150.43155.76170.27162.75137.62139.58152.87142.87122.44126.34138.39129.30123.17122.77132.06130.70104.59104.02122.38115.6796.4697.80110.33101.2385.1888.4999.1196.9686.0179.8690.7888.2776.5277.8587.7586.1675.3172.8580.9079.0268.1968.9278.7573.7863.7961.6971.7271.46NA59.39NANANA
Inventory Net 39.5339.2837.9235.7033.3833.2232.6930.8629.7528.5729.5229.0628.9326.9829.9532.6530.8430.3934.0621.5319.4817.5017.5816.5715.7916.0916.1015.8814.9815.3815.5114.7413.7213.7914.6313.6212.8012.9614.0313.7714.0812.5313.1412.6912.2511.8412.1211.8011.8510.9212.1610.8711.1210.6112.3012.6811.90NANANA
Other Assets Current 77.0886.2084.5362.7154.1964.6862.4935.4834.1545.9863.9444.8652.4248.6649.5539.2335.4043.5341.6345.3551.0046.4451.5132.9132.2825.5850.4627.0625.7026.6233.2228.1929.2031.7633.2726.1128.3624.7032.3818.8428.6617.7019.0519.0919.3919.8028.3219.0014.9815.7819.0015.1213.8017.1020.2014.5220.38NANANA

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Accumulated Depreciation Depletion And Amortization Property Plant And Equipment 382.27378.77372.84366.78360.42353.39346.89339.88333.30330.17324.79321.12315.89315.92307.35299.17299.23NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA125.67NANANA121.54NANANA
Amortization Of Intangible Assets 22.0019.2019.3018.7018.0016.5018.0014.009.0015.9015.6015.1014.1013.4013.1013.10NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Property Plant And Equipment Net 124.84129.17129.12127.12126.66124.38123.47124.12128.05130.36130.42132.68133.26131.55134.91143.90178.05186.82191.14194.85195.53197.55201.20136.81136.88136.86137.65136.27134.09132.87131.44132.10133.48134.17133.52127.43121.36115.73110.38105.45101.67101.9994.6892.0387.2285.3584.4783.3082.2677.5276.9677.1576.8676.0574.0373.4474.01NANANA
Goodwill 1161.091135.121116.211095.141070.311053.961046.00852.80846.70772.33742.02730.14721.82665.64664.12659.79653.18619.66602.31596.07572.85570.76563.08370.49368.48365.48359.11364.61346.50372.92258.26257.61255.66260.15254.00252.62249.94248.79269.87269.38255.56250.54255.51235.26211.85212.20212.00212.28212.48211.37210.97211.24211.02210.90213.71212.13210.78NANANA
Indefinite Lived Intangible Assets Excluding Goodwill NA141.96141.96141.96141.96141.96140.90106.41106.53105.36105.54105.63104.91105.38NANANANANANANANANANA32.20NANANA32.20NANANA29.70NANANA29.70NANANA11.30NANANA12.60NANANA12.60NANANA14.40NANANA14.40NANANA
Intangible Assets Net Excluding Goodwill NA540.72545.98549.39545.73559.90563.67415.25418.75443.20439.06438.42446.58402.54NANANANANANANANANANA214.42NANANA214.42NANANA161.78NA118.82111.16138.93142.64132.40136.63133.47150.29139.23157.01128.57134.76131.12136.46141.79132.85137.87139.58137.53140.60144.95146.74147.56NANANA
Finite Lived Intangible Assets Net NA398.76404.02407.43403.77417.94422.78308.84312.22337.85333.52332.79341.67297.15NANANANANANANANANANA152.87250.91246.42238.08152.87NANANA117.47NANANA92.81NANANA104.66NANANA101.46NANANA113.40NANANANANANANA30.27NANANA
Other Assets Noncurrent 45.1545.1844.3841.9446.8249.2246.9641.3539.0338.6443.6746.1634.95NANANA30.60NANANANANANA20.6219.0620.9820.4920.0619.4218.9718.5317.5916.8216.3715.8715.1214.6913.5514.0814.0113.8313.6713.7914.1113.8813.2512.6012.4011.4611.3111.0111.0510.529.6710.5010.5210.35NANANA

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Liabilities Current 645.16622.07609.95591.94576.69581.70575.70467.36493.78509.77517.74480.90491.16477.50518.74507.79472.51469.14478.17417.87410.04410.88414.34352.71299.03309.38319.23299.07294.57308.79287.10267.51276.99271.65271.30262.87252.99264.87263.94244.46252.68267.86259.43250.50235.79248.56247.07233.86228.42240.60240.74228.58225.85235.91249.25241.92246.44NANANA
Accounts Payable Current 49.6258.2254.0840.0449.2044.4274.4039.0742.8042.8750.7038.5944.5738.5174.8166.5964.6056.3948.0436.8435.2332.9337.6427.5027.1729.9932.0730.6226.1636.2033.7831.9530.2826.4427.6321.6624.9221.0928.5521.4322.8826.2927.9726.5823.1926.1130.7223.0824.8524.6829.6819.2122.5823.9531.8523.0825.94NANANA
Other Liabilities Current 115.6689.8896.43137.45101.74119.3695.3768.1654.5766.3075.2882.3273.2160.8373.2796.1963.5464.8788.3271.0560.9860.0660.6954.0350.4153.9261.0857.4458.3450.7241.2243.9744.8535.2536.7442.3733.3932.7331.4237.8237.4540.1738.3842.2629.7832.0932.8039.3831.6034.8736.4643.5734.6535.7732.4830.0328.54NANANA
Contract With Customer Liability Current 180.85201.91196.69186.02172.38183.39183.25167.56158.09166.87165.22156.52145.12151.65NANA131.25NANANANANANANANA123.92124.78117.93109.03NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Deferred Income Tax Liabilities Net 15.65NANANA18.86NANANA24.15NANANA13.2613.299.339.0110.6115.2414.4814.269.937.97NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Operating Lease Liability Noncurrent 295.90280.56267.64246.61233.37217.86200.20194.86196.89191.56178.02169.84172.52177.38NANA140.90NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA

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Stockholders Equity 1330.591317.781236.061167.501155.571102.841342.221287.751267.201196.551145.571107.531082.051101.631050.68988.93941.36932.72862.83800.37815.75806.90752.26719.12711.91734.76695.81662.76653.92650.44617.46583.55568.54574.23558.32541.56524.03519.43497.24466.98462.68491.01475.54449.77438.25407.29384.81364.97354.96368.66344.31336.25324.00326.50NANA297.97NANANA
Common Stock Value 484.37484.31484.31484.23484.08484.04492.82492.79492.45492.47492.42492.46491.91492.05492.08492.12491.61491.62491.64491.65491.15491.16491.23491.30490.96490.98490.99490.92490.48490.44490.48490.52490.03490.12491.18492.07492.19492.28492.29492.39327.87327.88328.39328.55328.19328.23328.68329.13328.53328.59328.66330.31329.06329.16330.53331.71331.16NANANA
Additional Paid In Capital 155.21145.49137.91127.53131.84123.85121.00115.02119.24114.00109.07104.78105.63102.4898.8495.82101.7699.1688.6484.8689.4186.2182.96NA85.3981.68NANA81.41NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Retained Earnings Accumulated Deficit 734.65709.12645.03588.21566.40530.14757.45711.25687.07633.65575.23524.16500.92524.56470.65412.14358.89528.96475.59426.45420.01419.99410.33380.40370.29489.50453.41418.41400.48413.58387.22358.59343.38348.87332.18315.68306.89314.46286.89259.30319.80319.69299.98279.99270.40268.67249.59230.78220.75227.01206.47199.37189.28179.22170.16159.20155.46NANANA
Accumulated Other Comprehensive Income Loss Net Of Tax -43.63-21.14-31.20-32.47-26.75-35.19-29.05-31.30-31.56-43.57-31.15-13.87-16.41-17.46-10.89-11.15-10.90-23.15-29.16-38.71-21.11-26.75-68.51-68.74-71.08-54.64-54.03-48.91-45.96-59.60-63.69-66.07-70.08-66.76-63.80-61.29-71.18-80.43-71.71-72.64-65.49-34.22-27.53-30.24-31.77-58.22-59.08-57.74-56.97-46.95-48.29-47.46-48.09-33.55-32.13-31.80-32.49NANANA

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Net Cash Provided By Used In Operating Activities 188.16146.95145.12127.43152.82127.36147.41100.77123.39127.72127.2887.53102.8979.7199.72119.4995.18105.83142.8191.9678.8793.3878.3358.6273.0082.7757.7672.7545.9869.4863.1456.77NANANANANANANANANANANANANANANANANANANANANANA41.3932.95NANA30.8028.24
Net Cash Provided By Used In Investing Activities -52.67-29.94-41.16-52.47-10.56-30.71-318.03-13.59-10.76-61.35-42.10-19.93-110.07-17.52-11.5240.14-67.86-28.16-13.31-53.05-7.14-26.05-409.36-12.56-11.29-21.87-19.18-49.03-9.58-127.75-8.60-8.24NANANANANANANANANANANANANANANANANANANANANANA-7.78-7.60NANA-4.71-1.86
Net Cash Provided By Used In Financing Activities -135.20-131.62-109.63-64.25-183.16-106.45211.28-71.08-139.73-165.65-112.7382.09-5.47-66.79-76.24-141.66-35.77-127.52-96.89-21.09-85.32-56.37312.80-43.45-61.07-30.73-30.65-39.83-46.89-25.57-25.27-32.54NANANANANANANANANANANANANANANANANANANANANANA-30.67-23.48NANA-20.76-21.88

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Net Cash Provided By Used In Operating Activities 188.16146.95145.12127.43152.82127.36147.41100.77123.39127.72127.2887.53102.8979.7199.72119.4995.18105.83142.8191.9678.8793.3878.3358.6273.0082.7757.7672.7545.9869.4863.1456.77NANANANANANANANANANANANANANANANANANANANANANA41.3932.95NANA30.8028.24
Net Income Loss 105.67136.91129.4094.39108.80127.78110.1488.2388.23107.62100.3072.4465.3493.8598.8592.6462.6279.58NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Increase Decrease In Accounts Receivable -20.5329.9833.506.40-12.2429.6929.96-1.53-6.8711.6527.781.44-11.8614.2920.47-0.47NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Increase Decrease In Inventories 0.671.071.862.291.550.501.191.040.83-0.470.33-0.151.14-3.12-2.672.01NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Share Based Compensation 7.227.208.387.186.186.106.385.955.304.964.826.143.103.923.923.922.7010.513.823.823.273.313.703.893.703.663.283.092.993.033.113.272.993.053.063.332.743.253.252.872.622.592.602.772.622.722.552.552.372.382.382.371.911.881.881.881.681.642.351.88

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Net Cash Provided By Used In Investing Activities -52.67-29.94-41.16-52.47-10.56-30.71-318.03-13.59-10.76-61.35-42.10-19.93-110.07-17.52-11.5240.14-67.86-28.16-13.31-53.05-7.14-26.05-409.36-12.56-11.29-21.87-19.18-49.03-9.58-127.75-8.60-8.24NANANANANANANANANANANANANANANANANANANANANANA-7.78-7.60NANA-4.71-1.86
Payments To Acquire Property Plant And Equipment 4.187.528.707.1711.196.876.787.647.717.047.898.007.166.805.407.835.545.255.776.678.455.266.966.487.535.408.116.137.466.005.775.455.957.1411.038.9610.8810.889.428.316.0411.226.325.165.343.684.884.747.294.333.713.715.275.784.253.356.252.272.981.54

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Net Cash Provided By Used In Financing Activities -135.20-131.62-109.63-64.25-183.16-106.45211.28-71.08-139.73-165.65-112.7382.09-5.47-66.79-76.24-141.66-35.77-127.52-96.89-21.09-85.32-56.37312.80-43.45-61.07-30.73-30.65-39.83-46.89-25.57-25.27-32.54NANANANANANANANANANANANANANANANANANANANANANA-30.67-23.48NANA-20.76-21.88
Payments Of Dividends Common Stock 80.0372.8072.6072.5972.5463.8063.9064.0563.9849.2049.2349.2088.9839.9540.3439.3968.7426.2126.2139.3250.7434.3934.3734.3361.0630.5830.5030.6046.8425.0725.0625.0643.5021.8221.8321.8639.3217.4817.4817.4829.8015.3315.3115.3026.2313.1413.1513.1529.1711.6711.7111.7310.2210.2610.3110.328.818.868.928.93
Payments For Repurchase Of Common Stock 0.07-0.030.2211.340.10303.110.3611.440.08-0.020.586.430.100.310.959.340.190.000.058.030.070.100.719.120.010.200.119.220.050.500.217.480.0312.449.828.780.000.000.926.490.0222.716.156.640.024.564.674.480.000.0015.254.691.3910.6910.427.710.128.2516.864.46

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Revenues 832.17916.27891.92748.35754.09840.43820.75658.01661.39729.70714.05590.68600.34650.20638.20535.55536.29583.70553.33487.90505.99556.47523.96429.07444.62487.74480.46408.74414.71450.44433.56375.25385.61423.99411.13352.74362.50399.75392.15330.91343.95384.87369.36313.39324.71362.15350.80299.71306.39340.18334.87289.46289.06323.93320.44271.64279.93305.12298.80253.04
Revenue From Contract With Customer Excluding Assessed Tax 832.17916.27891.92748.35754.09840.43820.75658.01661.39729.70714.05590.68600.34650.20638.20535.55536.29583.70553.33487.90505.99556.47523.96429.07444.62487.74480.46408.74414.71450.44433.56375.25385.61423.99411.13352.74362.50399.75392.15330.91343.95384.87369.36313.39324.71362.15350.80299.71306.39340.18334.87289.46289.06323.93320.44271.64279.93305.12298.80253.04
Commercial Revenue 280.45299.63287.77258.11256.70273.87261.90231.71NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Other Revenue NA6.395.274.88NA4.584.063.63NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Residential Revenue 369.06428.29408.41329.34340.47402.56384.09282.76NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Termite Completions Bait Monitoring Renewals Ancillary 172.43177.67186.02152.06147.87155.13166.40136.13NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Franchise 4.214.284.453.964.124.294.303.793.644.074.163.74NANANANANANANANANANANANANA2.00NANANA1.50NANANANANANANANANANANANANANANANANANANANANANANANANANANANANANA
US 771.42850.25827.84693.86698.08782.07763.65609.31613.79676.41661.70546.46553.86602.34589.93494.10495.68540.76517.58452.35467.51516.02485.17394.00408.46448.91443.78375.96381.18414.28400.30345.58NANANANANANANANANANANANANANANANANANANANANANANANANANANANA
Non Us 60.7566.0264.0854.4956.0058.3557.1048.7047.6053.3052.3544.2246.4947.8648.2741.4540.6142.9435.7535.5538.4840.4438.7935.0736.1638.8336.6832.7833.5336.1633.2629.67NANANANANANANANANANANANANANANANANANANANANANANANANANANANA

Plots across concepts


IncomeStatement
Comprehensive Income Net Of Tax
Expenses
Other Nonoperating Income Expense
Balance Sheet
Cash And Cash Equivalents At Carrying Value
Assets
Inventory Net
Current Assets
Inventory Net
NonCurrent Assets
Deferred Income Tax Assets Net
PropertyPlantAndEquipmentNet
Property Plant And Equipment Net
Liabilities
Operating Lease Liability
Current Liabilities
Accounts Payable Current
Noncurrent Liabilities
Deferred Income Tax Liabilities Net
Stockholders Equity
Accumulated Other Comprehensive Income Loss Net Of Tax
Per Share
Common Stock Dividends Per Share Cash Paid
CashFlow
Net Cash Provided By Used In Financing Activities
NetCashProvidedByUsedInOperatingActivities
Increase Decrease In Accounts Receivable
NetCashProvidedByUsedInInvestingActivities
Net Cash Provided By Used In Investing Activities
NetCashProvidedByUsedInFinancingActivities
Net Cash Provided By Used In Financing Activities
Shares
Weighted Average Number Of Shares Outstanding Basic
DividendsAndRepurchase
Payments For Repurchase Of Common Stock
OperatingLeaseLiability
Operating Lease Liability Current
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Undiscounted Excess Amount
FiniteLivedIntangibleAssets
Finite Lived Intangible Assets Accumulated Amortization
AccountsReceivable
Allowance For Doubtful Accounts Receivable Current

Line plots across dimensions of each concept