Financials
Value 202020212022202320242025 TTM Cash from investing activities 257.64 M-443.61 M-614.73 M39.65 M39.47 M-454.16 M -454.16 M Cash from financing activities 41.88 M-7.09 M580.83 M163.66 M-206.81 M437.35 M 437.35 M Free cash flow 43.26 M93.21 M134.95 M33.08 M25.88 M58.56 M 58.56 M