Financials
Value 202020212022202320242025 TTM Cash from investing activities -712.02 M-331.55 M-626.52 M-54.93 M-164.24 M-325.42 M -325.42 M Cash from financing activities 775.34 M651.09 M-95.78 M-37.51 M78.13 M183.65 M 183.65 M Free cash flow 81.51 M107.6 M164.52 M107.99 M93.85 M103.77 M 103.77 M