Financials
Value 202020212022202320242025 TTM Cash from investing activities -437 M-742 M-1.39 B-414 M-507 M-5.16 B -4.96 B Cash from financing activities -966 M-429 M-906 M-1.29 B-1.45 B1.31 B -468 M Free cash flow 1.4 B1.59 B1.57 B1.79 B2.13 B2.57 B 2.68 B