Financials
Value 202020212022202320242025 TTM Cash from investing activities -775.67 M-729.26 M-1.04 B-3.21 B-3.67 B-2.16 B -2.16 B Cash from financing activities 324.34 M-328.55 M-480.85 M902.33 M1.41 B-282.6 M -282.6 M Free cash flow -244.26 M215.43 M915.46 M-1.36 B-1.66 B269.59 M 269.59 M