Financials
Value 202020212022202320242025 TTM Cash from investing activities -121.88 M-1.32 B-93.91 M-198.17 M-203.52 M1.99 B 205.91 M Cash from financing activities -90.8 M729.01 M-300.07 M-43.84 M-1.02 B1.02 B 1.02 B Free cash flow 316.95 M347.48 M419.42 M785.41 M706.68 M696.89 M 696.89 M