Financials
Value 202020212022202320242025 TTM Cash from investing activities 203.1 M636.5 M481.3 M547.2 M56.7 M37 M 37 M Cash from financing activities 8.6 M599.9 M331.6 M662.9 M55.9 M106.7 M 106.7 M Free cash flow 128.3 M19.2 M142.6 M40.2 M39.2 M93.8 M 93.8 M