Financials
Value 202020212022202320242025 TTM Cash from investing activities -73.63 M-135.99 M-2.03 B-95.39 M-144.32 M-392.77 M -92.75 M Cash from financing activities -218.07 M-322.71 M1.34 B-632.02 M-560.85 M-407.82 M -812.24 M Free cash flow 505.84 M555.23 M487.12 M584.79 M614.66 M617.45 M 708.31 M