Financials
Value 202020212022202320242025 TTM Cash from investing activities 65.8 M82.3 M255.1 M181 M817.9 M119.8 M 119.8 M Cash from financing activities 158.6 M99.8 M83.3 M432.3 M234.9 M728.9 M 728.9 M Free cash flow 373.2 M-79.2 M173.9 M430.7 M439.2 M548 M 548 M