Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.22 B-1.01 B-2.28 B-411.17 M284.59 M-586.2 M -650.93 M Cash from financing activities 2.75 B970.57 M451.84 M455.04 M-809.62 M443.05 M 401.58 M Free cash flow 65.35 M348.77 M296.52 M196.89 M116.93 M243.9 M 188.59 M