Financials
Value 202020212022202320242025 TTM Cash from investing activities -275.02 M-794.51 M235.75 M294.94 M178.9 M-213.03 M -61.1 M Cash from financing activities 272.74 M936.55 M-189.15 M-331.38 M-17.1 M12.76 M -23.84 M Free cash flow -19.92 M-38.48 M-69.63 M362 K16.41 M94.44 M 106.02 M