Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.15 B-666.56 M-383.33 M-887.36 M388.77 M-512.5 M -512.5 M Cash from financing activities 345.62 M115.83 M-498.72 M-85.19 M-1.57 B-568.2 M -568.6 M Free cash flow 450.38 M397.25 M394.98 M973.27 M1.15 B972.4 M 925.6 M