Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.93 B146.56 M-1.91 B-979.04 M-11.22 M-126 M -42.09 M Cash from financing activities 1.37 B411.26 M923.78 M58.15 M-90.84 M-48.28 M -65.03 M Free cash flow 89.89 M248.24 M262.58 M233.64 M60.12 M259.33 M 169.08 M