Financials
Value 20202022202320242025 TTM Cash from investing activities 116.74 M922.88 M2.83 M77.68 M1.42 B 1.42 B Cash from financing activities 383.63 M480.57 M427.38 M360.49 M751.93 M 751.93 M Free cash flow 407.15 M-504.81 M413.11 M426.94 M-459.91 M -459.91 M