Financials
Value 20202021202320242025 TTM Cash from investing activities -597.15 M-54.19 M-49.78 M529.59 M-951.69 M -333.55 M Cash from financing activities 663.85 M103.64 M-112.71 M-1.06 B244.09 M -640.87 M Free cash flow -99.81 M67.54 M272.4 M672.93 M821.46 M 821.2 M