Financials
Value 202020212022202320242025 TTM Cash from investing activities -530.33 M-571.42 M-938.24 M-209.18 M-95.24 M-417.47 M -417.47 M Cash from financing activities 636.05 M499.99 M796.81 M220.69 M150.06 M283.4 M 283.4 M Free cash flow -1.67 M53.46 M83.37 M27.05 M42.3 M21.96 M 21.96 M