Financials
Value 202020212022202320242025 TTM Cash from investing activities -359.02 M-375 M-337.67 M-271.78 M-382.9 M-468.4 M — Cash from financing activities 162.09 M-175.9 M-196.3 M-182.39 M10.2 M-214.4 M — Free cash flow 239.48 M383.82 M487.8 M476.85 M666.2 M707.3 M —