Financials
Value 202020212022202320242025 TTM Cash from investing activities -26 M-15 M-21.4 M-60.31 M-471.75 M-595.85 M -718.76 M Cash from financing activities -201.66 M-104.95 M-336.81 M-144.61 M-378.09 M-176.04 M -179.71 M Free cash flow 201.95 M265.16 M447.15 M418.29 M490.67 M509.96 M 461.54 M