Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.27 B-660 M-2.04 B-55.4 M-298.04 M-734.02 M -730.88 M Cash from financing activities 1.4 B1.76 B167.64 M132.21 M459.3 M441.24 M 535.09 M Free cash flow 82.24 M142.66 M574.04 M148.55 M129.43 M237.75 M 286.2 M