Financials
Value 20202021202220232024 TTM Cash from investing activities -25.2 M46.8 M-28.2 M-670.2 M-658.3 M 316.2 M Cash from financing activities -405.3 M-422.9 M-531 M69.7 M324.3 M -681.1 M Free cash flow 454.7 M396 M657.5 M649.5 M356 M 426.3 M