Financials
Value 20202021202220232024 TTM Cash from investing activities -96.98 M-140.68 M-157.18 M-297.7 M-150.77 M -181.35 M Cash from financing activities -446.9 M-155.33 M-111.2 M-534.88 M-495.39 M -408.5 M Free cash flow 277.78 M-2.34 M653.42 M710.38 M619.14 M 667.4 M