Financials
Value 202020212022202320242025 TTM Cash from investing activities -677.81 M-678.47 M-414.36 M-21.92 M13.3 M-140.28 M -622.87 M Cash from financing activities 711.94 M724.06 M419.55 M-26.23 M-29.64 M203.82 M 751.44 M Free cash flow 36.82 M40.13 M-2.46 M44.64 M61.1 M-68.94 M -14.77 M