Financials
Value 202020212022202320242025 TTM Cash from investing activities 542.13 M747.88 M553.19 M800.4 M225.04 M240.03 M 240.03 M Cash from financing activities 833.32 M164.57 M118.75 M360.6 M660.58 M312.66 M 312.66 M Free cash flow -160.47 M-1.28 B5.63 M58.77 M40.17 M-121.65 M 275.6 M