Financials
Value 202020212022202320242025 TTM Cash from investing activities -187.32 M-274.6 M-393.06 M-82.65 M-88.95 M-61.45 M -145.37 M Cash from financing activities 455.77 M283.1 M-59.69 M139.95 M66.49 M79.81 M 11.74 M Free cash flow 42.31 M68.21 M59.71 M20.58 M34.47 M36.19 M 44.65 M