Financials
Value 202020212022202320242025 TTM Cash from investing activities -250.75 M-521.37 M-90.5 M-181.37 M-97.91 M106.69 M -210.32 M Cash from financing activities 262.23 M436.04 M57.54 M146.37 M90.58 M-147.26 M 83.59 M Free cash flow 8.48 M37.7 M45.02 M46.48 M48.65 M25.19 M 51.04 M