Financials
Value 202020212022202320242025 TTM Cash from investing activities -288.26 M-529.26 M-521.15 M-570.06 M-724.34 M-576.28 M -572.36 M Cash from financing activities 91.77 M277.14 M200.31 M272.06 M285.02 M79.03 M 93.83 M Free cash flow 196.28 M256.49 M316.5 M338.2 M416.59 M480.73 M 489.37 M