Financials
Value 202020212022202320242025 TTM Cash from investing activities -492.32 M-363.08 M-1.02 B329.52 M-52.78 M979.48 M 979.48 M Cash from financing activities 564.44 M601.52 M455.55 M-15.44 M-186.68 M-1.21 B -1.21 B Free cash flow 72.9 M103.91 M87.95 M81.16 M1.28 M74.28 M 74.28 M