Financials
Value 202020212022202320242025 TTM Cash from investing activities -294.45 M-649.09 M-487.72 M-7.03 M30.33 M-56.41 M -56.41 M Cash from financing activities 346.36 M581.23 M237.34 M-36.1 M23.9 M-124.97 M -124.97 M Free cash flow 15.3 M140.86 M103 M64.89 M55.36 M58.2 M 58.2 M