Financials
Value 202020212022202320242025 TTM Cash from investing activities 74.52 M38.14 M51.22 M17.26 M-5.11 M78.34 M — Cash from financing activities -416.1 M21.95 M-113.05 M-464.75 M-343.4 M-68.53 M — Free cash flow 331.92 M-128.76 M177.84 M615.87 M401.41 M115.64 M -17.39 M