Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.01 B-5.21 B-446.23 M-163.06 M-508.19 M-1.51 B -1.22 B Cash from financing activities 528.07 M3.97 B-529.49 M-305.25 M20.52 M-873.38 M -138.38 M Free cash flow 899.65 M778.51 M1.27 B1.09 B1.4 B1.36 B 1.33 B