Financials
Value 202020212022202320242025 TTM Cash from investing activities 1 B-555.79 M89.34 M384.16 M313.08 M-419.93 M -523.04 M Cash from financing activities -754.06 M384.36 M-161.45 M-558.6 M-327.95 M68.93 M 346.35 M Free cash flow 96.36 M-21.27 M125.28 M137.62 M103.41 M73.03 M 73.45 M