Financials
Value 202020212022202320242025 TTM Cash from investing activities -142.82 M-432.18 M-777.63 M-680.66 M-424.34 M-748.06 M -426.4 M Cash from financing activities -41.25 M-232.16 M34.73 M66.63 M-207.26 M77.69 M 150.3 M Free cash flow 450.19 M568.42 M578.36 M612.41 M635.5 M667.13 M 650.88 M