Financials
Value 202020212022202320242025 TTM Cash from investing activities -57.51 M-187.83 M-182.4 M-154.86 M-112.12 M-236 M — Cash from financing activities 83.54 M-754.75 M-258.27 M-452.78 M-379.35 M-177.06 M — Free cash flow 415.03 M617.51 M413.49 M546.61 M501.39 M606.32 M —