Financials
Value 20202021202220232024 TTM Cash from investing activities -39.37 M-30.12 M-39.14 M-22.26 M-898.76 M -15.8 M Cash from financing activities -304.07 M-170.91 M-155.7 M-240.35 M246.8 M -458.2 M Free cash flow 283.86 M83.58 M356.55 M368.23 M430.65 M 418.3 M