Financials
Value 20202021202320242025 TTM Cash from investing activities -222 M-400 M2.04 B136.8 M-201.1 M -910.8 M Cash from financing activities 450 M-536 M-1.67 B-746.3 M-112.9 M 563.8 M Free cash flow 372 M404 M-40.8 M265.1 M297.2 M 369 M