Financials
Value 202020212022202320242025 TTM Cash from investing activities 590.8 M-1.04 B-361.6 M-11.7 M414.2 M525.8 M 629.9 M Cash from financing activities -206.6 M632 M264.2 M-164.8 M-565.5 M-560 M -769.4 M Free cash flow -12.6 M-30.3 M32.9 M48.9 M55.1 M-55.2 M -92.9 M