Financials
Value 202020212022202320242025 TTM Cash from investing activities -216.08 M-128.45 M-548.25 M-157.7 M-59.7 M-77.4 M -261.7 M Cash from financing activities 2.35 M-503.65 M42.24 M-147.5 M-505.1 M-446.1 M -573.6 M Free cash flow 539.37 M555.47 M297.17 M306.8 M569.9 M662 M 832.4 M