Financials
Value 202020212022202320242025 TTM Cash from investing activities 831.65 M703.4 M592.11 M1.99 B131.19 M855.83 M 855.83 M Cash from financing activities 962.12 M630.84 M516.78 M1.79 B200.41 M683.58 M 683.58 M Free cash flow 73.28 M13.31 M230 K99.69 M5.85 M167.32 M 167.32 M