Financials
Value 202020212022202320242025 TTM Cash from investing activities -235.05 M-563.93 M8.82 M25.95 M8.04 M37.56 M — Cash from financing activities 922.32 M798.06 M-35.41 M-6.23 M-138.68 M123.75 M — Free cash flow -93.06 M-87.22 M-125.28 M-97.67 M-32.76 M55.46 M —