Financials
Value 202020212022202320242025 TTM Cash from investing activities 964.59 M-342.9 M-452.56 M1.1 B440.51 M-789.71 M -789.71 M Cash from financing activities -856.67 M152.1 M345.34 M-1.22 B-569.18 M597.13 M 597.13 M Free cash flow 132.09 M132.17 M100.5 M80.13 M112.13 M90.36 M 90.36 M