Financials
Value 202020212022202320242025 TTM Cash from investing activities -761.66 M-664.23 M-603.88 M-536.7 M-746 M-828.2 M -943 M Cash from financing activities 216.88 M731.87 M32.25 M-341.7 M-42.9 M321.8 M 338.5 M Free cash flow 541.86 M-64.56 M584.8 M944.4 M719.3 M673.4 M 621.8 M