Financials
Value 202020212022202320242025 TTM Cash from investing activities -455.9 M-412.14 M-403.7 M64.16 M-19.15 M86.16 M 86.16 M Cash from financing activities 554.77 M103.52 M239.38 M-186.12 M-217.4 M-211.53 M -211.53 M Free cash flow 83.01 M143.24 M126.92 M142.91 M169.66 M191.95 M 191.95 M