Financials
Value 202020212022202320242025 TTM Cash from investing activities 12.97 M238.42 M73.04 M-58.87 M-53.82 M-206.08 M -351.06 M Cash from financing activities -350.82 M-327.71 M-375.16 M-206.24 M-222.18 M1.82 M 130.75 M Free cash flow 204.04 M183.18 M73.39 M164.15 M198.73 M52.79 M 58.97 M