Financials
Value 202020212022202320242025 TTM Cash from investing activities -210.84 M-228.38 M-104.45 M-249.79 M-118.12 M-121.02 M -128.92 M Cash from financing activities -61.6 M-114.68 M-115.74 M-180.99 M-41.31 M2.36 M 28.15 M Free cash flow 377.37 M404.69 M372.36 M171.72 M107.62 M-12.28 M -35.9 M