Financials
Value 202020212022202320242025 TTM Cash from investing activities -105.53 M-98.11 M-453.78 M-157.6 M-223.3 M-138.5 M -112.6 M Cash from financing activities 35.4 M-212.24 M-1.15 M-143.2 M-135.7 M-788.6 M -509.9 M Free cash flow 253.5 M406.58 M748.29 M643.1 M732.8 M559.8 M 436.1 M