Financials
Value 202020212022202320242025 TTM Cash from investing activities -214 M-753.8 M-356.07 M-147.48 M-303.43 M-735.76 M -735.76 M Cash from financing activities 622.41 M171.82 M280.44 M75 M436.02 M489.08 M 489.08 M Free cash flow 33.65 M71.53 M115.38 M66.81 M63.01 M28.82 M 28.82 M