Financials
Value 202020212022202320242025 TTM Cash from investing activities 740.43 M267.01 M186.04 M599.75 M-517.98 M406.74 M 406.74 M Cash from financing activities 512.57 M-72.47 M-87.5 M-122.08 M-155.87 M-685.53 M -685.53 M Free cash flow -1.38 B-101.72 M-237.28 M-98.24 M849.74 M1.17 B 1.17 B