Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.25 B-1.24 B-348.49 M-357.07 M-313.18 M-658 M -557.29 M Cash from financing activities 2.33 B431.49 M23.32 M-285 K-106.78 M383.26 M 184.82 M Free cash flow 293.68 M273.06 M300 M366.15 M411.88 M359.64 M 369.31 M