Financials
Value 202020212022202320242025 TTM Cash from investing activities -126.1 M314.1 M-66.1 M-570.2 M-284.5 M-561 M -650.2 M Cash from financing activities 15.9 M-167.6 M-38.9 M309.6 M53.1 M425.5 M 247.4 M Free cash flow 104.8 M165 M-152.7 M184.6 M247.9 M241.2 M 269.7 M