Financials
Value 20202021202220232024 TTM Cash from investing activities -44.19 M-117.02 M-375.11 M-412.59 M-575.47 M -456.82 M Cash from financing activities -2.72 M-7.46 M-254.16 M-93.76 M-386.72 M -535.28 M Free cash flow 26.14 M126.21 M863.01 M451.4 M1.22 B 889.93 M