Financials
Value 202020212022202320242025 TTM Cash from investing activities -121.92 M-175.22 M-299.26 M-111.55 M-231.56 M922.94 M — Cash from financing activities -53.92 M-303.13 M-23.57 M-208.74 M-274 M785.77 M — Free cash flow 257.13 M348.66 M370.03 M434.91 M328.33 M308.52 M —