Financials
Value 202020212022202320242025 TTM Cash from investing activities 987.52 M1.91 B2.45 B1.68 B1.84 B125.06 M 125.06 M Cash from financing activities 903.2 M1.55 B2.11 B1.25 B1.38 B307.22 M 307.22 M Free cash flow -824.46 M-1.73 B-2.14 B-1.15 B-1.4 B208.66 M 208.66 M