Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.83 B-993.04 M-1.47 B1.29 B466.52 M525.31 M 525.31 M Cash from financing activities 1.32 B634.52 M1.18 B-341.47 M-2.05 B-588 M -588 M Free cash flow 160.94 M316.99 M476.42 M460.65 M106.91 M151.46 M 151.46 M