Financials
Value 202020212022202320242025 TTM Cash from investing activities -816.33 M-883.81 M-723.22 M28.57 M285 M-82.63 M -111.42 M Cash from financing activities 1.09 B850.47 M-100.86 M-175.98 M-348.45 M-38.6 M -38.01 M Free cash flow 114.8 M132.21 M162.9 M138.89 M109.71 M127.93 M 138.09 M