Financials
Value 202020212022202320242025 TTM Cash from investing activities -886.36 M-236.05 M-819.86 M-336.24 M-330.92 M-223.59 M -223.59 M Cash from financing activities 780.01 M236.13 M620.95 M216.96 M492.76 M-330.77 M -330.77 M Free cash flow 105.11 M72.19 M216.7 M162.21 M171.17 M136.32 M 136.32 M