Financials
Value 202020212022202320242025 TTM Cash from investing activities -362.13 M-430.13 M-468.36 M-451.95 M-432.88 M-448.84 M -612.23 M Cash from financing activities 272.71 M313.61 M480.65 M331.18 M327.1 M339.48 M 495.35 M Free cash flow 12.75 M31.48 M50.65 M80.16 M90.16 M109.51 M 113.73 M