Financials
Value 202020212022202320242025 TTM Cash from investing activities 607.4 M1.07 B1.07 B1.37 B2.59 B2.77 B — Cash from financing activities 139.8 M510.5 M56.9 M82.4 M1.21 B173.3 M — Free cash flow 1.11 B1.23 B1.38 B1.19 B1.61 B3.77 B —