Financials
Value 202020212022202320242025 TTM Cash from investing activities 147.58 M547.36 M1.88 B1.01 B124.71 M383.98 M 395.23 M Cash from financing activities 46.48 M640.22 M1.72 B1.02 B33.08 M267.28 M 272.13 M Free cash flow 118.59 M81.82 M36.23 M85.62 M85.54 M70.97 M 83.14 M