Financials
Value 202020212022202320242025 TTM Cash from investing activities -19.35 M950.98 M-97.14 M-80.47 M61.37 M-221.59 M -27.63 M Cash from financing activities -166.28 M-908.93 M-604.21 M-137.12 M-173.18 M-264.76 M -314.81 M Free cash flow 279.4 M284.24 M185.59 M199.13 M252.71 M238.65 M 260.04 M