Financials
Value 202020212022202320242025 TTM Cash from investing activities -319.26 M-399.86 M1.63 B349.14 M900.92 M710.83 M 710.83 M Cash from financing activities 12.45 M-47.46 M-1.86 B-884.22 M-1.36 B-1.21 B -1.21 B Free cash flow 313.22 M288.46 M-167.64 M409.59 M431.28 M444.37 M 444.47 M