Financials
Value 202020212022202320242025 TTM Cash from investing activities -125.85 B-75.66 B32.05 B57.41 B35.43 B24.54 B -1.43 B Cash from financing activities 143.98 B96.32 B-68.72 B-61.24 B-47.06 B-29.7 B 3.65 B Free cash flow 6.11 B1.08 B1.1 B18.78 B2.06 B8.71 B 11.42 B