Financials
Value 202020212022202320242025 TTM Cash from investing activities -219 M246.5 M-510 M-40.5 M-35.3 M-343.9 M -343.9 M Cash from financing activities -29 M-184.4 M-256.5 M-310.9 M-333.2 M-29.4 M -29.4 M Free cash flow 392.2 M159 M270.3 M417 M364.7 M288.1 M 288.1 M