Financials
Value 2022202320242025 TTM Cash from investing activities -148.42 M94.44 M-18.98 M-29.8 M -33.15 M Cash from financing activities 817.05 M52.59 M-8.68 M356.88 M 64.38 M Free cash flow -282.38 M-111.93 M79.69 M-145.54 M -236.03 M