Financials
Value 202020212022202320242025 TTM Cash from investing activities -627.25 M20.62 M-481 M-83.69 M141.23 M-183.49 M -157.74 M Cash from financing activities 578.57 M112.83 M267.03 M31.92 M-176.32 M184.75 M 150.26 M Free cash flow 40.03 M52.66 M33.57 M53.24 M57.15 M32.17 M 2.92 M