Financials
Value 202020212022202320242025 TTM Cash from investing activities -109.38 M-292.97 M-195.35 M-125.25 M-207.06 M-136.24 M -140.17 M Cash from financing activities -248.42 M-697.41 M-370.94 M-442 M-878.07 M-1.16 B -1.05 B Free cash flow 648.06 M755.55 M542.98 M906.51 M929 M1.18 B 1.21 B