Financials
Value 2022202320242025 TTM Cash from investing activities -265.42 M-412.69 M-498.64 M-309.71 M -292.37 M Cash from financing activities 437.92 M289.1 M436.69 M129.6 M 85.92 M Free cash flow -40 M9.58 M66.52 M224.72 M 251.78 M