Financials
Value 202020212022202320242025 TTM Cash from investing activities -369.2 M-482.99 M-381.72 M-308.92 M-258.27 M-297.04 M — Cash from financing activities 451.62 M-344.13 M-149.23 M-25.28 M61.94 M-185.31 M — Free cash flow 291.7 M492.99 M266.63 M246.85 M349.72 M364.96 M —