Financials
Value 202020212022202320242025 TTM Cash from investing activities 881.08 M-182.93 M-1.51 B-1.4 B-335.98 M-438.38 M -85.85 M Cash from financing activities 510.36 M-49.04 M-124.7 M1.31 B-73.56 M669.86 M -245.27 M Free cash flow -88.62 M100.04 M164.46 M295.66 M252.5 M199.34 M 202.66 M