Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.24 B-1.26 B-681.46 M-78.45 M136.23 M-170.39 M -170.39 M Cash from financing activities 1.79 B1.91 B-1.82 B-101.85 M-44.13 M-778.98 M -778.98 M Free cash flow 281.67 M386.37 M420.03 M340.36 M394.14 M437.52 M 437.52 M