Financials
Value 202020212022202320242025 TTM Cash from investing activities -242.2 M-859.92 M-1.85 B-1.48 B184.03 M-857.32 M -857.32 M Cash from financing activities 749.55 M1.55 B94.74 M758.74 M-302.47 M873.64 M 873.64 M Free cash flow 314.18 M330.59 M464 M381.34 M325.52 M363.66 M 363.66 M