Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.87 B-668.05 M-632.82 M-1.7 M-5.64 B-100.55 M — Cash from financing activities 3.79 B2.62 B817.63 M26.11 M-56.94 M109.74 M — Free cash flow 377.72 M768.26 M326.56 M6.22 B1.12 B-1.83 B —