Financials
Value 202020212022202320242025 TTM Cash from investing activities -530.06 M-710.78 M-943.61 M-1.14 B-714.15 M-1.08 B -3.15 B Cash from financing activities -205.58 M-949.33 M-2.11 B146.05 M-135.13 M-343.12 M 1.12 B Free cash flow 735.64 M1.66 B3.05 B994.72 M849.29 M1.63 B 2.03 B