Financials
Value 202020212022202320242025 TTM Cash from investing activities -119.8 M-290.59 M11.27 M-370.57 M-442.1 M-152.6 M — Cash from financing activities -83.33 M297.98 M-337.57 M-489.39 M-378.3 M-460.1 M — Free cash flow 235.8 M47.95 M501.91 M805.05 M826.8 M498.9 M —