Financials
Value 202020212022202320242025 TTM Cash from investing activities -285 M-11.06 B-2.96 B-4.06 B-7.98 B-6.81 B — Cash from financing activities -2.2 B3.65 B-6.82 B-6.57 B-4 B-7.54 B — Free cash flow 4.8 B5.96 B9.81 B10.35 B11.86 B14.57 B —