Financials
Value 20202021202220232024 TTM Cash from investing activities -490.26 M-2.42 B-1.68 B-498.9 M-681.45 M -681.45 M Cash from financing activities -221.36 M1.68 B876.29 M-399.56 M-376.73 M -376.73 M Free cash flow 430.29 M422.43 M343.78 M506.82 M679.23 M 1.06 B