Financials
Value 202020212022202320242025 TTM Cash from investing activities -56.69 M-551.63 M12.74 M-47.85 M-41.92 M-83.7 M -83.7 M Cash from financing activities 676.47 M-424.48 M-288.51 M-301.8 M-316.02 M-180.13 M -180.13 M Free cash flow 192.2 M10.42 M202.91 M295.77 M337.9 M392.73 M 392.73 M