Financials
Value 202020212022202320242025 TTM Cash from investing activities -271.71 M-85.67 M-64.92 M-82.79 M-74.29 M-54.67 M -69.66 M Cash from financing activities -440.67 M7.57 M-1.62 B-717.83 M-416.1 M-862.75 M -782.94 M Free cash flow 499.19 M94.95 M1.65 B731.95 M509.08 M914.52 M 876.59 M