Financials
Value 202020212022202320242025 TTM Cash from investing activities 110.68 M-287.68 M-614.8 M-169.69 M-302.44 M-440.66 M -440.66 M Cash from financing activities -294.34 M-284.93 M187.93 M-205.43 M-99.04 M90.83 M 90.83 M Free cash flow 195.19 M31.41 M152.49 M334.57 M348.6 M-86.26 M -86.26 M