Financials
Value 202020212022202320242025 TTM Cash from investing activities -136.22 M-1.34 B-957.48 M-668.29 M-710.72 M-1.47 B -514.8 M Cash from financing activities 285.87 M-780.11 M-2.6 B-1.65 B-1.07 B279.42 M -404.56 M Free cash flow 260.07 M1.74 B3.6 B2.31 B1.87 B853.28 M 639.32 M