Financials
Value 202020212022202320242025 TTM Cash from investing activities 98.1 M-609.4 M-74.6 M-240.2 M-782.1 M-221.7 M -221.7 M Cash from financing activities -181.3 M559.7 M-652 M-18.2 M-167.1 M-230 M -230 M Free cash flow 463.6 M452.1 M383.7 M436.4 M396.8 M481.6 M 481.6 M