Financials
Value 202020212022202320242025 TTM Cash from investing activities 551.47 M835.73 M-63.02 M-65.33 M-73.45 M435.41 M 435.41 M Cash from financing activities -722.82 M-964.23 M-148.19 M-93.5 M-17.84 M-524.96 M -524.96 M Free cash flow 126.46 M69.87 M127.74 M72.26 M80.94 M69.89 M 69.89 M