Financials
Value 20212022202320242025 TTM Cash from investing activities -359.36 M-270.6 M-273 M-211.86 M-245.41 M -234.82 M Cash from financing activities 335.81 M249 M237.35 M213.74 M164.05 M 248.09 M Free cash flow 22.05 M29.54 M22.55 M34.09 M42.5 M 49.09 M