Financials
Value 202020212022202320242025 TTM Cash from investing activities -683.47 M-698.52 M-904.89 M-23.23 M-228.63 M-651.83 M -668.55 M Cash from financing activities 178.43 M-90.6 M269.08 M-667.81 M-384.75 M-393.22 M -358.4 M Free cash flow 173.08 M264.78 M-181.94 M472.43 M253.24 M391.38 M 353.62 M