Financials
Value 202020212022202320242025 TTM Cash from investing activities -84.25 M-428.49 M-1.05 B-222.48 M-146.81 M-64.47 M -58.36 M Cash from financing activities -392.92 M-188.44 M-47.84 M-635.68 M-337.68 M-426.31 M -411.29 M Free cash flow 435.12 M394.8 M749.69 M772.73 M405.93 M456.31 M 235.74 M