Financials
Value 202020212022202320242025 TTM Cash from investing activities 40.35 B4.9 B-14.53 B-8.42 B-14.98 B-27.36 B -32.33 B Cash from financing activities -41.49 B-7.88 B9.39 B5.88 B11.75 B27.22 B 32.3 B Free cash flow 527.97 M3.08 B5.37 B2.37 B3.31 B692.91 M 886.45 M