Financials
Value 202020212022202320242025 TTM Cash from investing activities 98.81 M355.06 M447.29 M278.72 M315.37 M471.18 M 471.18 M Cash from financing activities 58.32 M243.36 M205.57 M26.43 M53.41 M124.47 M 124.47 M Free cash flow 166.78 M182.15 M212.92 M237.1 M251.53 M291.99 M 291.99 M