Financials
Value 202020212022202320242025 TTM Cash from investing activities 69.1 M262.7 M657.3 M62.4 M54.6 M51.1 M 51.1 M Cash from financing activities 492.5 M465.6 M12.5 M118.9 M103.7 M170.9 M 170.9 M Free cash flow 236.2 M306.9 M107 M217.5 M302.7 M230.4 M 230.4 M