Financials
Value 202020212022202320242025 TTM Cash from investing activities -127.46 M-432.9 M-240.93 M-387.03 M-445.58 M-417.11 M -379.29 M Cash from financing activities -505.1 M-153.34 M-690 K73.96 M-129.32 M-460.36 M -240.7 M Free cash flow 762.98 M422.35 M294.4 M295.71 M619.55 M462.01 M 348.44 M