Financials
Value 202020212022202320242025 TTM Cash from investing activities -411.29 M-373.67 M-316.38 M-295.44 M-796.66 M-420.16 M -1.34 B Cash from financing activities -140.25 M-140.84 M-81.99 M103.58 M-71.11 M-71.72 M -71.36 M Free cash flow 565.66 M460.14 M317.08 M416.18 M990.98 M1.03 B 1.42 B