Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.15 B-583.17 M-398.87 M-525.57 M-706.93 M-154.74 M -193.69 M Cash from financing activities 457.97 M-147.43 M-190.2 M-176.88 M-164.91 M-709.75 M -712.64 M Free cash flow 727.93 M709.26 M588.82 M763 M861.53 M848.69 M 818.57 M