Financials
Value 202020212022202320242025 TTM Cash from investing activities -61.5 M-716 M-106.4 M-205.7 M-440 M-212 M -221 M Cash from financing activities -130.9 M-334.5 M-368.9 M-315 M-201 M-401 M -454 M Free cash flow 509.3 M558.6 M293.8 M575.3 M576 M649 M 691 M