Financials
Value 202020212022202320242025 TTM Cash from investing activities -608.8 M-925.56 M216.33 M-687.45 M-2.46 B-3.58 B -3.68 B Cash from financing activities -346.34 M-360.88 M-654.6 M-83.75 M-421.81 M-1.6 B -802.1 M Free cash flow 719.73 M951.12 M448.17 M2 B3.68 B4.25 B 5.32 B