Financials
Value 202020212022202320242025 TTM Cash from investing activities -199.46 M-1.51 B-388.94 M-575.05 M-903.67 M-425.79 M -528.18 M Cash from financing activities -88.95 M898.25 M-187.31 M-208.89 M377.03 M-309.34 M -288.34 M Free cash flow 430.6 M546 M626.21 M734.55 M777.77 M866.73 M 871.42 M