Financials
Value 202020212022202320242025 TTM Cash from investing activities 173.59 M-506.94 M-395.62 M-62.48 M924.44 M-425.29 M 76.94 M Cash from financing activities 18.86 M599.24 M1.44 M6.15 M-500.14 M-240.11 M -474.25 M Free cash flow 54.73 M80.09 M56.01 M126.61 M190.84 M134.9 M 149.12 M