Financials
Value 202020212022202320242025 TTM Cash from investing activities -465.07 M-261.5 M-152.35 M-293.58 M-397.4 M159.96 M — Cash from financing activities 196.84 M-261.82 M-164.5 M-290.27 M-456.6 M-984.27 M — Free cash flow 480.31 M461.82 M479.71 M561.43 M832.64 M716.55 M —