Financials
Value 202020212022202320242025 TTM Cash from investing activities -162.4 M-98.97 M-134.14 M-372.89 M-176.23 M-326.7 M -318.7 M Cash from financing activities -281.27 M-290.16 M-336.02 M-149.42 M-440.71 M-343.58 M -415.16 M Free cash flow 435.79 M401.81 M465.93 M528.37 M607.65 M678.11 M 649.58 M