Financials
Value 202020212022202320242025 TTM Cash from investing activities -125.12 M-142.69 M-403.34 M-559.73 M-440.66 M331.25 M -170.68 M Cash from financing activities -256.43 M-215.69 M-214.85 M-507.12 M-285.32 M385.73 M -211.95 M Free cash flow 279.54 M302.22 M505.42 M451.3 M439.39 M387.86 M 387.86 M