Financials
Value 202020212022202320242025 TTM Cash from investing activities -617.09 M-63.16 M149.82 M840.25 M-261.31 M-627.2 M -230.65 M Cash from financing activities 1.41 B-66.82 M-189.09 M477.38 M-996 K671.13 M 716.41 M Free cash flow -103.93 M-209.02 M-309.46 M-324.98 M-239.86 M-184.76 M -187.69 M