Financials
Value 202020212022202320242025 TTM Cash from investing activities -802.07 M-3.04 B-838.9 M150.97 M-921.57 M-24.81 M -150.38 M Cash from financing activities 209.57 M3.06 B356.48 M-700.79 M-176.34 M-318.28 M -381.05 M Free cash flow 626.08 M111.38 M407.46 M509.21 M1.36 B-251.79 M -482.68 M