Financials
Value 202020212022202320242025 TTM Cash from investing activities -859.02 M-417.71 M-1.11 B-998.68 M-908.16 M-1.03 B -1.07 B Cash from financing activities 39.71 M-794.51 M-1.08 B-923.72 M-716.54 M-264.06 M -211.33 M Free cash flow 802.71 M1.42 B2.04 B1.67 B1.64 B1.18 B 1.16 B