Financials
Value 202020212022202320242025 TTM Cash from investing activities -700.83 M-317.5 M-626.73 M570.5 M-422.45 M-42.61 M -42.61 M Cash from financing activities 521.73 M273.21 M556.88 M-260.16 M100.61 M55.09 M 55.09 M Free cash flow 117.86 M94.17 M-92.56 M22.3 M-124.34 M-51.15 M -51.15 M