Financials
Value 202020212022202320242025 TTM Cash from investing activities -748.92 M-306.08 M-631.29 M547.27 M715.68 M149.61 M 149.61 M Cash from financing activities 889.03 M728.16 M-320.26 M-809.4 M-446.07 M-305.2 M -305.2 M Free cash flow 105.54 M87.41 M112.89 M157.05 M139.83 M119.65 M 119.65 M