Financials
Value 20202021202220232024 TTM Cash from investing activities 415.02 M306.55 M254.51 M516.95 M181.03 M 228.04 M Cash from financing activities 446.87 M134.6 M343.56 M411.3 M147.61 M 199.63 M Free cash flow 64.85 M93.65 M151.29 M101.64 M143.19 M 149.13 M