Financials
Value 202020212022202320242025 TTM Cash from investing activities -511.2 M-550.82 M-1.1 B-1.42 B-1.08 B-915.41 M -1.09 B Cash from financing activities -52.76 M-307.8 M-576.72 M362.97 M454.07 M32.93 M 286.97 M Free cash flow 575.7 M859 M1.7 B1.02 B620.34 M-449.67 M -735.22 M