Financials
Value 202020212022202320242025 TTM Cash from investing activities -30.49 M-223.45 M-89.75 M-87.75 M-185.85 M-551.92 M -515.4 M Cash from financing activities -68.34 M87.91 M-32.79 M-104.53 M-118.62 M-161.54 M -132.07 M Free cash flow 119.28 M151.59 M219.12 M478.58 M497.1 M439.99 M 520.67 M