Financials
Value 202020212022202320242025 TTM Cash from investing activities -367.16 M-537.21 M-357.83 M-168.68 M-27.34 M93.3 M 114.52 M Cash from financing activities 668.02 M275.72 M132.11 M182.25 M165.65 M87.83 M -12.77 M Free cash flow 42.28 M57.88 M59.44 M25.25 M39.81 M46.48 M 49.62 M