Financials
Value 202020212022202320242025 TTM Cash from investing activities —-420.69 M-3.68 B-946.98 M-1.29 B1.48 B 1.74 B Cash from financing activities —7.14 B1.35 B3.07 B3.55 B887.34 M 859.89 M Free cash flow -2.15 M-1.48 B-2.23 B-2.49 B-2.02 B-2.93 B -3.69 B