Financials
Value 202020212022202320242025 TTM Cash from investing activities -22.43 B27.54 B-34.48 B-62.91 B-76.56 B-37.07 B — Cash from financing activities -4.64 B-10.79 B-6.29 B-17.56 B-26.46 B-21.96 B — Free cash flow 182.22 B104.31 B26.43 B39.11 B65.31 B29.77 B —