Financials
Value 202020212022202320242025 TTM Cash from investing activities 348.4 M-24.09 M-70.42 M29.86 M-337.2 M-39.92 M -49.43 M Cash from financing activities 44.42 M-331.04 M-28.39 M-120.43 M198.69 M-1.35 M -2.39 M Free cash flow -141.68 M56.83 M53.49 M54.88 M41.42 M124.49 M 84.78 M