Financials
Value 202020212022202320242025 TTM Cash from investing activities —-18.74 M-630.79 M80.3 M70.76 M-475.42 M -1.01 B Cash from financing activities —1.09 B60.46 M288.24 M361.11 M1.03 B 2.31 B Free cash flow —-195.75 M-235.93 M-313.83 M-436.27 M-509.89 M -543.36 M