Financials
Value 202020212022202320242025 TTM Cash from investing activities 11.8 M-349.9 M8.1 M-24.1 M267.1 M-53 M -53 M Cash from financing activities -374.8 M-421 M-430.8 M-684.7 M408.4 M-633.1 M -633.1 M Free cash flow 505.3 M566 M321.1 M597.7 M473.8 M546 M 546 M