Financials
Value 202020212022202320242025 TTM Cash from investing activities -629.55 M-374.18 M-289.79 M-200 M-339.29 M-316.47 M -316.47 M Cash from financing activities 462.8 M-1.83 M-55.83 M-90.42 M-96.7 M-113.2 M -113.2 M Free cash flow 240.44 M313.48 M302.82 M333.31 M386.7 M412.52 M 412.52 M