Financials
Value 202020212022202320242025 TTM Cash from investing activities -88.25 M-5.63 B-3.25 B1.44 B3.5 B359.4 M 359.4 M Cash from financing activities -110.77 M5.51 B2.61 B-1.85 B-3.88 B-514.42 M -514.42 M Free cash flow 336.61 M382.48 M396.82 M458.84 M366.45 M275.87 M 275.87 M