Financials
Value 202020212022202320242025 TTM Cash from investing activities -702.83 M-23.11 M-1.38 B-1.31 B-796.87 M-1.08 B -622.08 M Cash from financing activities 937.76 M1.35 B-563.19 M1.18 B880.61 M803.17 M 957.01 M Free cash flow 135.51 M160.57 M216.64 M268.24 M247.4 M181.53 M 203.39 M