Financials
Value 202020212022202320242025 TTM Cash from investing activities -410.74 M-444.92 M-460.24 M-510.39 M-539 M-564 M -609 M Cash from financing activities 84.04 M185.55 M327.29 M84.89 M084 M 146 M Free cash flow 331 M267.34 M124.21 M447.08 M534 M469 M 464 M