Financials
Value 202020212022202320242025 TTM Cash from investing activities 148.94 M473.84 M752.14 M404.03 M64.66 M186.49 M 186.49 M Cash from financing activities 654.18 M528.99 M114.2 M230.9 M284.41 M59.7 M 59.7 M Free cash flow 9.87 M179.5 M214.63 M166.94 M155.27 M162.42 M 162.42 M