Financials
Value 202020212022202320242025 TTM Cash from investing activities -326.36 M-229.47 M-14.62 M9.78 M-28.82 M378.61 M — Cash from financing activities 551.81 M-2.4 M-1.64 M2.85 M-104.22 M-491.8 M — Free cash flow 17.14 M38.04 M30.11 M83.19 M83.07 M104.59 M 36.06 M