Financials
Value 202020212022202320242025 TTM Cash from investing activities -224.3 M-914.2 M-319.3 M-323.6 M-445.8 M-436 M -446.8 M Cash from financing activities -456.1 M269.6 M-871.3 M-403.1 M-472.6 M-396 M -489.4 M Free cash flow 333 M462.7 M689.4 M448.4 M389.5 M374.3 M 555.3 M