Financials
Value 202020212022202320242025 TTM Cash from investing activities -553.4 M-563.06 M-424.59 M-162.94 M-118.16 M-122.5 M -122.5 M Cash from financing activities 548.63 M443.68 M294.86 M182.77 M5.11 M64.34 M 64.34 M Free cash flow 53.79 M104.32 M88.95 M69.56 M55.2 M70.17 M 70.17 M