Financials
Value 202020212022202320242025 TTM Cash from investing activities -293.08 M-33.01 M-315.67 M-170 M-45.9 M-34.8 M -20.6 M Cash from financing activities 277.79 M-62.28 M-237.34 M-96.8 M-77 M-251 M -140.4 M Free cash flow 270.43 M237.28 M400.62 M294.5 M143.9 M89.5 M 180.6 M