Financials
Value 202020212022202320242025 TTM Cash from investing activities 774.74 M77.66 M672.38 M112.69 M590.03 M525.48 M 525.48 M Cash from financing activities 793.92 M145.83 M721.87 M52.05 M574.94 M376.77 M 376.77 M Free cash flow 97.33 M136.96 M74.49 M40.16 M34.2 M47.74 M 47.74 M