Financials
Value 202020212022202320242025 TTM Cash from investing activities -454.51 M-111.01 M-245.27 M-506.85 M-328.47 M-373.38 M -414.46 M Cash from financing activities 417.68 M75.22 M252.19 M491.38 M289.17 M193.47 M 327.52 M Free cash flow 26.37 M35.6 M35.42 M49.41 M57.49 M61.7 M 53.45 M