Financials
Value 202020212022202320242025 TTM Cash from investing activities -31.49 M-123.54 M12.03 M-312.95 M13.38 M-229.13 M — Cash from financing activities 1.08 B1.35 B-898.48 M295.48 M9.12 M552.05 M — Free cash flow 2.63 B761.77 M433.81 M-821.31 M3.97 B5.23 B —