Financials
Value 202020212022202320242025 TTM Cash from investing activities -444.34 M-1.16 B-545.03 M-825.36 M-1.73 B-755.43 M -755.43 M Cash from financing activities -101.48 M191.59 M-116.93 M-239.98 M755.99 M-425.78 M -425.78 M Free cash flow 804.09 M788.74 M881.95 M892.95 M1.09 B721.62 M 721.62 M