Financials
Value 202020212022202320242025 TTM Cash from investing activities 9.46 M-87.61 M-116.62 M-112.25 M-87.12 M-85.7 M -56.28 M Cash from financing activities -315.32 M-458.59 M-509.18 M-460.54 M-496.44 M-330.31 M -286.93 M Free cash flow 596.53 M603.14 M683.75 M636.88 M410.47 M319.96 M 266.97 M