Financials
Value 202020212022202320242025 TTM Cash from investing activities -147 K-3.4 M-1.77 M00— — Cash from financing activities -269.87 M-351.71 M-360.85 M-293.98 M-340.48 M-352.37 M -325.64 M Free cash flow 270.01 M355.11 M362.61 M293.98 M340.48 M352.37 M 325.64 M