Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.39 B-1.99 B-1.08 B2.4 B1.06 B-364.02 M -295.54 M Cash from financing activities 4.01 B988.98 M-215.57 M-2.14 B-1.03 B-758.41 M -117.33 M Free cash flow 69.85 M174.49 M229.94 M261.69 M283.84 M412.99 M 354.94 M