Financials
Value 202020212022202320242025 TTM Cash from investing activities -398.81 M-495.51 M-555 M-395.93 M-425.44 M-105.7 M -48.42 M Cash from financing activities 753.2 M780.09 M-443.25 M363.08 M586.79 M168.04 M 193 M Free cash flow 37.88 M64.57 M119.86 M66.61 M101.12 M17.97 M 49.26 M