Financials
Value 202020212022202320242025 TTM Cash from investing activities -323.37 M-689.86 M-1.54 B-248.04 M55.15 M-186.16 M -638.77 M Cash from financing activities 344.51 M449.37 M1.37 B129.55 M-2.08 M104.17 M 269.68 M Free cash flow 81.13 M202.27 M176.78 M92.89 M60.7 M106.4 M 134.84 M