Financials
Value 202020212022202320242025 TTM Cash from investing activities -194.11 M-33.17 M-222.76 M-1.44 B-844.4 M-26.69 M -39.61 M Cash from financing activities -251.53 M-422.91 M-416.01 M750.51 M294.5 M-706.43 M -754.41 M Free cash flow 502.42 M545.93 M513.13 M641.28 M556.19 M719.17 M 761.98 M