Financials
Value 202020212022202320242025 TTM Cash from investing activities -51.43 M-499.16 M-636.4 M-284.32 M-65.78 M-468.86 M -404.92 M Cash from financing activities -67.81 M-68.98 M310.2 M-185.73 M-112.44 M-149.27 M -194.9 M Free cash flow 258.03 M373.34 M419.72 M457.39 M367.62 M433.76 M 448.26 M