Financials
Value 202020212022202320242025 TTM Cash from investing activities -270.69 M-310.83 M-504.04 M77.67 M-104.2 M-206.43 M -206.43 M Cash from financing activities 348.81 M136.74 M334.09 M-131.08 M19.32 M130.7 M 130.7 M Free cash flow -33.7 M107.03 M183.35 M76 M49.19 M51.94 M 51.94 M