Financials
Value 202020212022202320242025 TTM Cash from investing activities 404.29 M-84.14 M-395.46 M-92.03 M-146.21 M-273.94 M -317.52 M Cash from financing activities -642.31 M-7.23 M-11.31 M-47.67 M-36.82 M-20.92 M -8.3 M Free cash flow 287.18 M176.63 M272.87 M187.28 M236.89 M-683 K -11.81 M