Financials
Value 202020212022202320242025 TTM Cash from investing activities -542.13 M-747.88 M-553.19 M-800.4 M-225.04 M-240.03 M — Cash from financing activities 833.32 M-164.57 M-118.75 M360.6 M-660.58 M-312.66 M — Free cash flow 455.59 M516.4 M592.24 M602.59 M541.15 M566.31 M 431.71 M