Financials
Value 202020212022202320242025 TTM Cash from investing activities 654.9 M749.1 M12.9 M1.27 B1.16 B1.13 B 1.13 B Cash from financing activities 56.8 M1.06 B767.9 M48.1 M348.8 M10.9 M 10.9 M Free cash flow 62.3 M-465.2 M-207.8 M54.1 M-278.1 M82.7 M 82.7 M