Financials
Value 202020212022202320242025 TTM Cash from investing activities -835.7 M-197.4 M-259.7 M-340.8 M-283.7 M-319.6 M -242.9 M Cash from financing activities 385.6 M-1.55 B-1.65 B-656.9 M-212.6 M-163 M -110.1 M Free cash flow 418.4 M1.74 B1.92 B974.3 M503.2 M247.9 M 163.4 M