Financials
Value 202020212022202320242025 TTM Cash from investing activities -4.89 B-939.83 M-71.7 M-76.58 M-58.54 M-46.83 M -142.24 M Cash from financing activities 1.68 B111.11 M-689.17 M-534.07 M-758.3 M-984.89 M -808.38 M Free cash flow 759.81 M832.53 M476.56 M896.79 M932.72 M1.02 B 1.14 B