Financials
Value 202020212022202320242025 TTM Cash from investing activities -131.35 M190.71 M-801.28 M-88.21 M-175.39 M367.18 M 257.96 M Cash from financing activities 428.87 M-122.15 M185.95 M50.32 M115.75 M-454.9 M -375.44 M Free cash flow 46.05 M84.98 M66.58 M80.7 M44.06 M70.06 M 76.87 M