Financials
Value 202020212022202320242025 TTM Cash from investing activities -208.7 M-370.6 M-516.36 M591.46 M-288.44 M-230.75 M 70.73 M Cash from financing activities 750.6 M65.38 M-41.6 M-362.73 M199.3 M201.4 M -210.65 M Free cash flow 68.11 M84.86 M105.16 M89.77 M117.23 M149.44 M 177.2 M