Financials
Value 20212022202320242025 TTM Cash from investing activities -814.94 M-840.28 M-451.41 M59.02 M232.73 M 237.97 M Cash from financing activities 885.54 M343.37 M170.7 M-302.84 M-564.97 M -562.51 M Free cash flow 123.07 M-239.03 M-361.31 M-47.06 M107.77 M 115.79 M