Financials
Value 202020212022202320242025 TTM Cash from investing activities -759.07 M-396.68 M-1.91 B-587 M-898 M-7.91 B -7.87 B Cash from financing activities 346.36 M-343.88 M1.73 B-186.7 M-64 M7.71 B 7.58 B Free cash flow 721.65 M942.47 M881.4 M1.01 B1.17 B1.45 B 1.5 B