Financials
Value 202020212022202320242025 TTM Cash from investing activities -539.93 M-1.57 B-1.05 B-905.88 M-1.13 B-960.14 M -960.14 M Cash from financing activities -210.71 M557.05 M57.89 M292.56 M-688.47 M-761.71 M -761.71 M Free cash flow 145.22 M-380.38 M-142.18 M-137.97 M704.3 M-375.02 M -375.02 M