Financials
Value 202020212022202320242025 TTM Cash from investing activities 587.4 M2.04 B30.35 M-51.92 M-57.55 M-102.65 M -106.39 M Cash from financing activities -272.72 M-2.68 B-461.57 M-201.89 M-166.94 M-222.47 M -229.12 M Free cash flow 184.93 M-206.53 M125.47 M194.34 M160.85 M263.15 M 263.59 M