Financials
Value 202020212022202320242025 TTM Cash from investing activities -146.6 M-554.8 M-315.3 M-187.8 M-96.7 M-3.02 B -226.1 M Cash from financing activities -522.6 M76.5 M-279.1 M-384.3 M1.08 B616.9 M -729.9 M Free cash flow 543.7 M668 M378.8 M384.9 M569.2 M800.1 M 940.2 M