Financials
Value 202020212022202320242025 TTM Cash from investing activities 815.7 M1.82 B411.17 M357.28 M310.27 M303.19 M 303.19 M Cash from financing activities 643.15 M1.6 B66.05 M92.53 M198.95 M302.19 M 302.19 M Free cash flow 155.88 M72.37 M-17.56 M143.2 M235.78 M219.38 M 219.38 M