Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.12 B12.85 M-455.99 M-130.03 M231.94 M-113.69 M -299.89 M Cash from financing activities 2.2 B144.07 M-36.31 M-78.42 M-150.61 M-91.27 M 303.65 M Free cash flow 887 K171.49 M145.65 M129.92 M108.48 M148.55 M 164.16 M