Financials
Value 202020212022202320242025 TTM Cash from investing activities -100.36 M-314.11 M-139.4 M-131.69 M-119.46 M-193.87 M -193.87 M Cash from financing activities -743.91 M-590.55 M-716.04 M-859.59 M-855.98 M-755.17 M -755.17 M Free cash flow 632.21 M801.25 M737.83 M860.55 M864.45 M848.65 M 848.65 M