Financials
Value 202020212022202320242025 TTM Cash from investing activities -161.1 M-195.1 M-263.73 M-367.17 M-336.9 M-482.81 M -474.01 M Cash from financing activities 185.94 M-301.23 M-409.77 M-267.43 M-275.75 M-357.77 M -283.92 M Free cash flow 230.44 M468.83 M511.73 M564.98 M753.63 M730.07 M 751.41 M