Financials
Value 202020212022202320242025 TTM Cash from investing activities -954.91 M-2.47 B-448.27 M-341.9 M-564.45 M-154.18 M -121.53 M Cash from financing activities 830.18 M1.58 B-463.43 M-346.13 M-136.34 M-410.01 M -427.18 M Free cash flow 574.37 M704.34 M738.04 M663.17 M664.13 M563.33 M 565.21 M