Financials
Value 202020212022202320242025 TTM Cash from investing activities 2.03 M-64.3 M-12 M-75.94 M-88.97 M31.18 M 31.18 M Cash from financing activities -378.2 M-344.24 M-404.01 M-382.23 M-396.33 M-325.7 M -325.7 M Free cash flow 336.43 M327.27 M409.62 M405.18 M436.03 M201.65 M 201.65 M