Financials
Value 202020212022202320242025 TTM Cash from investing activities -241.79 M-1.04 B-79.33 M-819.38 M-144.25 M-130.06 M -167.66 M Cash from financing activities -779.04 M229.5 M-1.43 B-953.93 M-1.4 B-1.36 B -1.4 B Free cash flow 811.11 M936.07 M1.1 B1.24 B1.5 B1.59 B 1.59 B