Financials
Value 202020212022202320242025 TTM Cash from investing activities -704.48 M-411.77 M-634.69 M-749.27 M-845.23 M-854.71 M -846.5 M Cash from financing activities 577.38 M299.71 M538.23 M410.35 M395.3 M417.93 M 398.05 M Free cash flow 112.18 M88.22 M118.7 M376.32 M444.54 M421.54 M 429.5 M