Financials
Value 202020212022202320242025 TTM Cash from investing activities -83.37 M-89.3 M-110.7 M——— — Cash from financing activities 584.41 M-19.93 M-14.3 M-14.4 M-15.3 M-15.4 M -15.4 M Free cash flow -414.03 M70.68 M45.3 M442.5 M427.7 M368.7 M -72.5 M