Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.16 B-975.96 M-215.6 M-223.81 M-1.18 B-297.31 M -294.81 M Cash from financing activities 759.86 M648.6 M-569.59 M-211.39 M662.52 M-207.5 M -256.7 M Free cash flow 602.51 M556.84 M748.41 M482.6 M721.87 M729.84 M 613.67 M