Ardagh Metal Packaging SA reported cash generated from operations of $214.0 million for the third quarter of 2025, up from $200.0 million in the same period of 2024. For the nine months ended September 30, 2025, cash generated from operations was $257.0 million, compared to $199.0 million in 2024. Net cash flows from operating activities reached $181.0 million in the third quarter, rising from $169.0 million in the prior year, while the nine-month figure increased to $81.0 million from $65.0 million in 2024. Cash used in investing activities for the third quarter totaled $50.0 million, compared to $34.0 million last year; for the nine months, it was $131.0 million versus $132.0 million in 2024. The company noted that sales volumes and revenue are primarily influenced by customer demand, seasonality, and production capacity, with minimal anticipated impact from recent and proposed tariff changes.