Financials
Value 202020212022202320242025 TTM Cash from investing activities -219.23 M-233.24 M-493.83 M-183.21 M-242.73 M-169.21 M -917.71 M Cash from financing activities -534.75 M-477.15 M-205.78 M-595.79 M-601.33 M-500.32 M -54.43 M Free cash flow 753.38 M709.75 M482.88 M778.8 M774 M862.47 M 904.2 M