Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.58 B-1.81 B-2.02 B-163.29 M-991.04 M33.42 M 44.46 M Cash from financing activities 2.52 B2.16 B-258.78 M226.34 M157.31 M-541.57 M -542.71 M Free cash flow 158.68 M359.32 M607.31 M293.97 M349.73 M384.04 M 354.68 M