Financials
Value 20202021202220232024 TTM Cash from investing activities -354.32 M-4 M-103.72 M-54.61 M-140.76 M -169.44 M Cash from financing activities 224.13 M-106.57 M-177.11 M-222.55 M-135.92 M -109.05 M Free cash flow 265.22 M219.54 M130.29 M350.72 M298.07 M 280.67 M