Financials
Value 202020212022202320242025 TTM Cash from investing activities -601.21 M-465.47 M-442.31 M-1.89 B-940.08 M-587.45 M 905.07 M Cash from financing activities -27.41 M40.92 M-382.69 M66.61 M19.27 M52.11 M -1.61 B Free cash flow 314.21 M522.89 M732.63 M847.57 M867.16 M1.23 B 1.42 B