Financials
Value 202020212022202320242025 TTM Cash from investing activities -36.4 M-787.46 M42.49 M79.09 M-79.51 M-169.01 M — Cash from financing activities -241.86 M482.59 M-166.05 M-396.81 M-505.48 M-582.92 M — Free cash flow 274.28 M466.49 M581.59 M331.37 M537.72 M544.27 M —