Financials
Value 202020212022202320242025 TTM Cash from investing activities -538.17 M-107.4 M-170.71 M-412.49 M-79.94 M4.3 M 4.3 M Cash from financing activities 211.49 M-34.9 M-591.87 M10.73 M-259.45 M-295.89 M -295.89 M Free cash flow 217.72 M251.69 M572.81 M266.78 M239.53 M233.83 M 233.83 M