Financials
Value 202020212022202320242025 TTM Cash from investing activities —-3.5 M-464.3 M420.7 M-82 M-1.18 B -1.09 B Cash from financing activities —822.2 M-9.9 M250.1 M820.4 M1.8 B 1.5 B Free cash flow —-108.4 M-200.4 M-271.6 M-368.6 M-432.9 M -487.4 M