(2) Beginning in Q3 2023, selling, general and administrative includes (gain)/loss on tool sales and certain contract cancellation fees. Prior period amounts have not been adjusted, as they are immaterial.
(3) Relates to restructuring charges.
Unaudited Non-IFRS Adjusted Free Cash Flow (1) | |||||||||||
Three Months Ended | |||||||||||
(in millions USD) | June 30, 2024 | March 31, 2024 | June 30, 2023 | ||||||||
Net cash provided by operating activities | $ | 402 | $ | 488 | $ | 546 | |||||
Less: Purchase of property, plant and equipment and intangible assets | (101 | ) | (227 | ) | (400 | ) | |||||
Add: Proceeds from government grants | 1 | — | — | ||||||||
Non-IFRS Adjusted free cash flow (2) | $ | 302 | $ | 261 | $ | 146 |
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