Financials
Value 202020212022202320242025 TTM Cash from investing activities -177.84 M-4.24 M-153.18 M-150.6 M-167.62 M-310.03 M 20.53 M Cash from financing activities -753.31 M-1.01 B-1.12 B-1.17 B-816.46 M-833.88 M -922.16 M Free cash flow 898.55 M1.3 B986.82 M1.27 B1.01 B1.11 B 1.31 B