Financials
Value 202020212022202320242025 TTM Cash from investing activities -470.53 M-436.57 M-16.54 M-551.9 M759.9 M1.8 B 974.15 M Cash from financing activities 140.68 M218.32 M-149.74 M469.01 M-995.36 M-2.06 B -1.25 B Free cash flow 176.85 M192.49 M181.82 M143.74 M299.47 M189.4 M 178.09 M