Financials
Value 202020212022202320242025 TTM Cash from investing activities -67.5 M-164.88 M-89.81 M-141.54 M-117.3 M-399.09 M -372.97 M Cash from financing activities -482.13 M-422.32 M-437.24 M-331.32 M-494.4 M-589.5 M -586.33 M Free cash flow 410.12 M580.57 M493.29 M447.03 M622.34 M607.66 M 682.76 M