Financials
Value 202020212022202320242025 TTM Cash from investing activities -557.68 M-857.92 M-927.08 M-97.7 M310.74 M570.43 M 570.43 M Cash from financing activities 1.97 B543.55 M-670.19 M312.9 M-523.71 M-536.72 M -536.72 M Free cash flow 130.19 M234.25 M192.79 M195.56 M123.44 M20.76 M 20.76 M