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Item 3 — Quantitative and Qualitative Disclosures About Market Risk
Adt Inc. · 10-Q · Q2 FY2026 · Period ended Jun 30, 2026
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Our operations expose us to a variety of market risks, including the effects of changes in interest rates as we have both fixed-rate and variable-rate debt. We monitor and manage these financial exposures as an integral part of our overall risk management program. Our policies allow for the use of specified financial instruments for hedging purposes only. Use of derivatives for speculation purposes is prohibited.
There were no material changes in our interest rate risk exposure to that disclosed in our 2025 Annual Report.