Financials
Value 202020212022202320242025 TTM Cash from investing activities 159.62 M313.04 M-225.2 M199.09 M-314.53 M-312.26 M — Cash from financing activities -473.76 M-37.63 M-115.39 M-360.44 M-85.31 M-27.84 M — Free cash flow 338.22 M98.9 M38.98 M199.08 M392.56 M253.72 M —