Financials
Value 202020212022202320242025 TTM Cash from investing activities -729.86 M90.23 M-1.06 B570.95 M-717.08 M173.12 M -11.97 M Cash from financing activities 922.79 M1.07 B306.71 M-458.79 M-428.62 M-848.13 M -875.54 M Free cash flow -167.64 M292.88 M184.61 M246.52 M413.48 M437.19 M 705.54 M