Financials
Value 202020212022202320242025 TTM Cash from investing activities -40.44 M242.7 M387.71 M-202.11 M-187.02 M483.57 M 206.06 M Cash from financing activities -79.48 M746.72 M-676 M-249.71 M-22.31 M-492.01 M -364.83 M Free cash flow 158.54 M-63.32 M-40.35 M10.48 M112.22 M-166.44 M -150.37 M