Financials
Value 202020212022202320242025 TTM Cash from investing activities 314.59 M314.59 M458.3 M537.23 M455.99 M529.18 M 529.18 M Cash from financing activities 303.08 M303.08 M276.78 M191.28 M194.5 M273.67 M 273.67 M Free cash flow -271.98 M95.3 M278.3 M185.82 M195.94 M275.62 M 275.62 M