Financials
Value 202020212022202320242025 TTM Cash from investing activities -221.58 M-205.45 M-203.44 M-432.24 M135.85 M-361.95 M — Cash from financing activities 255.81 M146.58 M-493.68 M324.58 M-84.08 M505.76 M — Free cash flow 92.2 M240.53 M771.38 M276.79 M265.08 M283.79 M —