Financials
Value 202020212022202320242025 TTM Cash from investing activities -532.53 M-42.4 M-325.87 M-35.52 M-283.31 M-90.12 M -85.92 M Cash from financing activities 82.08 M-369.13 M129.43 M-273.4 M-271.49 M-578.3 M -482.27 M Free cash flow 261.18 M387.67 M294.78 M448.09 M544.27 M553.71 M 625.29 M