Financials
Value 202020212022202320242025 TTM Cash from investing activities -269.99 M-243.44 M-518.89 M-814.9 M-655.12 M-540.75 M -642.29 M Cash from financing activities -30.2 M-370.61 M-469.34 M-315.21 M-406.8 M-331.16 M -332.66 M Free cash flow 310.12 M788.48 M1.3 B855.79 M920.85 M409.16 M 385.03 M