Financials
Value 202020212022202320242025 TTM Cash from investing activities -504.5 M-4.11 B-132.85 M1.31 B776.16 M-17.35 M -83.26 M Cash from financing activities -202.87 M-2.94 B-661.8 M-947.12 M-1.13 B-857.52 M -503.44 M Free cash flow 892.18 M1.41 B679.81 M91.27 M628.3 M509.41 M 558.11 M