Financials
Value 202020212022202320242025 TTM Cash from investing activities 72.8 M-58.3 M-724.9 M-101.1 M64.5 M-170 M -175.8 M Cash from financing activities -213 M-113.6 M237.3 M-152.4 M-230.6 M-315.1 M -267.3 M Free cash flow 552.8 M134 M59.9 M183.7 M259.9 M292.9 M 132.1 M