Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.21 B-423.96 M-33.01 M-736.85 M-246.9 M66.62 M — Cash from financing activities 741.96 M189.44 M-91.14 M21.69 M-1.03 B-227.29 M — Free cash flow 706.82 M778.93 M520.97 M636.05 M578.43 M477.11 M 1.6 B