Financials
Value 202020212022202320242025 TTM Cash from investing activities -545.51 M-829.68 M-706.08 M-857.13 M-1.12 B-1.15 B -1.15 B Cash from financing activities 457.79 M689.06 M506.8 M580.01 M810.7 M798.35 M 798.35 M Free cash flow 99.39 M167.39 M211.02 M254.57 M308.48 M381.08 M 381.08 M