Financials
Value 202020212022202320242025 TTM Cash from investing activities -145.75 M131.35 M-53.23 M-34.35 M8.06 M-28.55 M -244.4 M Cash from financing activities -244.42 M-353.38 M-210.02 M-228.08 M-408.68 M-453.79 M -447.89 M Free cash flow 469.59 M124.16 M242.73 M441.53 M530.95 M480.44 M 661.83 M