Financials
Value 202020212022202320242025 TTM Cash from investing activities 688.17 M618.78 M734.45 M686.36 M947.38 M1.49 B 1.49 B Cash from financing activities 141.38 M122.81 M87.82 M84.49 M102.75 M207.48 M 207.48 M Free cash flow 531.98 M749.26 M776.39 M736.28 M1.07 B1.19 B 1.19 B