Financials
Value 202020212022202320242025 TTM Cash from investing activities —110.19 M-106.33 M-1.89 B-4.82 B-6.72 B -6.72 B Cash from financing activities —684.99 M8.44 B10.89 B5.03 B13.11 B 13.11 B Free cash flow —-1.4 B-7.35 B-7.34 B-1.27 B-3.98 B -3.98 B