Financials
Value 202020212022202320242025 TTM Cash from investing activities -123.8 M-167.7 M-799.3 M-81.9 M-21.3 M-139.3 M -453 M Cash from financing activities 182.2 M211.8 M415.1 M-278.4 M-384.4 M-514.7 M -173.7 M Free cash flow 384.3 M449.9 M297.8 M316.4 M591.6 M589.7 M 590.2 M