Financials
Value 202020212022202320242025 TTM Cash from investing activities 3.18 B3.22 B662.36 M295.21 M274.76 M314.36 M 314.36 M Cash from financing activities 2.92 B2.51 B1.34 B203.29 M886.79 M239.34 M 239.34 M Free cash flow 317.32 M562.15 M812.88 M470.22 M615.5 M523.06 M 523.06 M