Financials
Value 202020212022202320242025 TTM Cash from investing activities -74.7 M-1.25 B-484.6 M-366.1 M-1.28 B-671.3 M -448.5 M Cash from financing activities -668.1 M-74 M-67.3 M185.2 M681.1 M-31.1 M -211.9 M Free cash flow 805.4 M1.26 B585.9 M190.2 M586.3 M694.5 M 628.2 M