Financials
Value 202020212022202320242025 TTM Cash from investing activities -117.33 M-1.06 B-770.13 M-60.5 M-143.27 M-112.31 M -118.44 M Cash from financing activities -136.51 M982.58 M243.03 M-359.07 M-289.85 M-376.3 M -343.73 M Free cash flow 258.34 M288.02 M274.32 M416.7 M435.29 M520.21 M 498.5 M