Financials
Value 202020212022202320242025 TTM Cash from investing activities 171.64 M-506.16 M-1.68 B-705.79 M-1.51 B-711.59 M -649.68 M Cash from financing activities -1.51 B-989.53 M205.1 M-292.16 M-333.94 M-209.25 M -281.28 M Free cash flow 1.87 B992.15 M1.13 B1.44 B1.25 B890.76 M 995.5 M