Financials
Value 202020212022202320242025 TTM Cash from investing activities -489.04 M-1.3 B-1.23 B-775.45 M-369.61 M-762.96 M 413.33 M Cash from financing activities 876.85 M2.76 B958.47 M745.07 M151.96 M867.6 M 867.6 M Free cash flow 87.27 M37.28 M85.89 M42.43 M148.46 M88.68 M 88.68 M