Financials
Value 202020212022202320242025 TTM Cash from investing activities -2.56 M-87.35 M-29.53 M-94.48 M-61.85 M-40.62 M -45.69 M Cash from financing activities -839.92 M-957.86 M-735.75 M-585.03 M-469.56 M-281.05 M -205.97 M Free cash flow 1.06 B1.17 B706.8 M491.78 M598.99 M454.89 M 437.78 M