Financials
Value 202020212022202320242025 TTM Cash from investing activities -360.42 M-549.03 M-572.62 M-482.1 M1.22 B-15.88 B 918.18 M Cash from financing activities -140.61 M-748.75 M-1.12 B-1.2 B-181.3 M13.36 B -2.74 B Free cash flow 991.31 M1.49 B1.74 B1.7 B1.41 B-15.33 B 2.75 B