Financials
Value 202020212022202320242025 TTM Cash from investing activities -90.9 M-234.2 M-174.2 M-192.2 M-263.4 M-231 M -231 M Cash from financing activities -298.8 M-28.4 M-80.5 M-180.2 M-461.3 M-467.3 M -467.3 M Free cash flow 369.7 M252.2 M256.3 M421.9 M679 M557.5 M 557.5 M