Financials
Value 202020212022202320242025 TTM Cash from investing activities 68.87 M-67.69 M-86.27 M-155.29 M-86.94 M-96.93 M -99.04 M Cash from financing activities -145.11 M-189.78 M-242.38 M-147.06 M-201.38 M-332.37 M -283.97 M Free cash flow 404.49 M282.09 M289.23 M333.77 M385.24 M382.14 M 277.18 M