Financials
Value 202020212022202320242025 TTM Cash from investing activities -375.65 M-171.51 M-175.07 M-289.29 M-411.37 M-290.72 M -416.82 M Cash from financing activities 143.69 M-59.36 M-96.78 M-3.83 M22.92 M-3.72 M 63.23 M Free cash flow -159.63 M59.41 M218.18 M117.36 M94.08 M97.92 M 1.79 M