Financials
Value 202020212022202320242025 TTM Cash from investing activities -167.25 M-331 M-462.45 M-163.08 M-437.02 M-452.23 M -353.39 M Cash from financing activities 72.71 M-293.58 M-380.41 M-428.07 M172.12 M-216.94 M 7.42 M Free cash flow 443.1 M552.24 M566.38 M588.79 M624.69 M652.01 M 663.11 M