Financials
Value 202020212022202320242025 TTM Cash from investing activities -509.12 M-1.29 B-411.25 M-373.35 M-469.5 M723.31 M 723.31 M Cash from financing activities 364.92 M1.59 B44.91 M282.21 M681.81 M-227.21 M -227.21 M Free cash flow -521.33 M-752 M-803.18 M-626.95 M-1.34 B-997.26 M -997.26 M