Financials
Value 20202021202220232024 TTM Cash from investing activities -535.05 M-57.69 M-144.06 M56.64 M-38.05 M — Cash from financing activities 533.64 M251.94 M-41.15 M-52.37 M45.99 M — Free cash flow -6.32 M-32.47 M-56.5 M-14.54 M-16.68 M 367.83 M