Financials
Value 202020212022202320242025 TTM Cash from investing activities -174.48 M-52.28 M571.96 M43.61 M307.99 M272.25 M — Cash from financing activities -259.7 M21.88 M-1.19 B-930.42 M-1.16 B-344.1 M — Free cash flow 419.38 M73.3 M769.33 M865.49 M825.18 M491.23 M —