Financials
Value 202020212022202320242025 TTM Cash from investing activities -651.94 M624.66 M-1.02 B578.46 M5.67 M-470.32 M -323.73 M Cash from financing activities 1.13 B1.37 B-2.31 B-682.71 M-556.18 M-171.97 M -293.18 M Free cash flow 291.73 M389.38 M413.17 M379.67 M460.65 M399.28 M 433.1 M