Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.45 B-1.02 B-1.44 B191.93 M-371.17 M-224.74 M -177.27 M Cash from financing activities 2.26 B1.61 B-684.73 M-437.73 M325.38 M-111.94 M -135.5 M Free cash flow 125.39 M301.58 M238.05 M257.2 M293.19 M257.46 M 310.06 M