Financials
Value 202020212022202320242025 TTM Cash from investing activities -643.72 M-583.29 M-8.44 M-146.3 M-250.44 M-300.73 M -319.46 M Cash from financing activities 792.81 M136.76 M-80.17 M59 M210.33 M260.28 M 198.65 M Free cash flow 101.39 M121.18 M103.34 M89 M94.97 M31.95 M 47.77 M