Financials
Value 202020212022202320242025 TTM Cash from investing activities -920.98 M-579.75 M-2.49 B-1.38 B3.29 B-318.41 M -492.61 M Cash from financing activities 2.04 B653.12 M817.86 M1.46 B-2.33 B-1.64 B -324.3 M Free cash flow 166.6 M314.45 M268.46 M213.96 M439.23 M236.95 M 255.25 M