Financials
Value 202020212022202320242025 TTM Cash from investing activities 115.18 M377.55 M133.78 M126.87 M38.13 M77.34 M 77.34 M Cash from financing activities 1.52 B457.73 M1.58 B6.77 M154.73 M758.13 M 758.13 M Free cash flow 1.41 B861.25 M1.56 B-15.68 M116.4 M648.54 M 648.54 M