Financials
Value 202020212022202320242025 TTM Cash from investing activities -480.71 M-1.82 B-646.18 M-1.23 B-759.12 M-520.39 M -549.75 M Cash from financing activities -443.88 M779.33 M-754.35 M150.69 M-139.4 M-807.74 M -799.56 M Free cash flow 919.64 M1.19 B1.44 B1.16 B799.06 M1.27 B 1.3 B