Financials
Value 202020212022202320242025 TTM Cash from investing activities -475.3 M-675.35 M-700.52 M-521.14 M-294.91 M-281.53 M -281.53 M Cash from financing activities 505.72 M538.15 M715.31 M502.08 M326.5 M281.52 M 281.52 M Free cash flow 26.37 M52.47 M61.8 M80.78 M59.84 M92.02 M 92.02 M