Financials
Value 202020212022202320242025 TTM Cash from investing activities -407.59 M-447.04 M-881.51 M-209.99 M-107.47 M-384.32 M -384.32 M Cash from financing activities 617.55 M570.43 M477.65 M52.1 M56 M86.35 M 86.35 M Free cash flow 55.81 M91 M145.38 M105.38 M51.33 M203.7 M 203.7 M