Financials
Value 202020212022202320242025 TTM Cash from investing activities -65 M-274 M-52.5 M-1.16 B-758.4 M520.8 M -111.7 M Cash from financing activities -272.5 M-166.8 M-82.1 M516.7 M146.2 M-968.4 M -450.9 M Free cash flow 344 M373.3 M394.6 M528.1 M643.1 M371.9 M 577.7 M