Financials
Value 202020212022202320242025 TTM Cash from investing activities 216.9 M-126.4 M-90.9 M-56.1 M-114 M-98.2 M -88.8 M Cash from financing activities 393.1 M-1.07 B79.1 M-309.4 M-300.3 M-29.1 M -118.8 M Free cash flow 311.1 M114.8 M-91.5 M338.4 M331.7 M63.2 M 145 M