Financials
Value 202020212022202320242025 TTM Cash from investing activities -525.97 M-687.86 M-201.2 M-866.12 M-124.81 M-38.29 M 490.02 M Cash from financing activities 297.41 M370.26 M-264.08 M268.31 M-650.73 M-908.51 M -1.22 B Free cash flow 233.81 M368.81 M435.33 M610.86 M749.98 M867.7 M 938.62 M