Financials
Value 202020212022202320242025 TTM Cash from investing activities -117.11 M-353.25 M-158.84 M869.68 M-680.23 M1.61 B — Cash from financing activities -999.7 M373.89 M-62.9 M-1.46 B-172.97 M1.28 B — Free cash flow 969.78 M-25.3 M255.55 M837.38 M459.06 M443.54 M —