Financials
Value 20212022202320242025 TTM Cash from investing activities -541.77 M-340.48 M-76.06 M-150.11 M-70.5 M -62.01 M Cash from financing activities 711.83 M38.65 M41.16 M36.24 M-178.9 M -162.24 M Free cash flow 36.73 M12.61 M92.02 M196.17 M300.27 M 311 M