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Item 3 — Quantitative and Qualitative Disclosures About Market Risk
Amrize Ltd · 10-Q · Q2 FY2026 · Period ended Jun 30, 2026
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We are exposed to certain market risks, which exist as a part of our ongoing business operations. We monitor
and manage these financial exposures as an integral part of our overall risk management program. To manage
the aforementioned risks, we may, from time to time, use forward contracts, options, swaps, caps, collars,
and floors or pursue other strategies to limit our exposure to changes in markets including changes in interest
rates, currency exchange rates, and commodity prices.
For the six months ended June 30, 2026, there have been no material changes to our market risks from those
disclosed in the 2025 Form 10-K.