Financials
Value 202020212022202320242025 TTM Cash from investing activities -184.2 M-182 M-284.4 M-226 M-177.1 M-83.4 M -164 M Cash from financing activities -9.1 M-30.4 M43.4 M-18.3 M-80.9 M-134.6 M -117.3 M Free cash flow 229.4 M210.8 M217.2 M297.5 M283.4 M245.4 M 240 M