Financials
Value 202020212022202320242025 TTM Cash from investing activities -88.98 M-132.24 M-90.78 M-67.43 M-148.21 M-470.04 M -470.04 M Cash from financing activities -95.43 M-97.34 M-106.93 M-109.15 M-115.26 M49.84 M 49.84 M Free cash flow 174.19 M101.81 M225.9 M251.55 M261.5 M206.14 M 206.14 M