Financials
Value 202020212022202320242025 TTM Cash from investing activities -162.25 M-196.34 M-409.67 M-240.16 M-232.16 M-277.74 M -277.74 M Cash from financing activities -462.23 M-310.49 M-8.43 M-301.83 M-345.67 M-574.12 M -574.12 M Free cash flow 462.13 M504.63 M381.56 M568.04 M641.5 M506.51 M 506.51 M