Financials
Value 202020212022202320242025 TTM Cash from investing activities -14.54 M-45.19 M-39.95 M-175.61 M-260.57 M-550.38 M -486.92 M Cash from financing activities 1.16 M-140.28 M-6.05 M125.79 M157.18 M-16.18 M 16.41 M Free cash flow 22.21 M131.88 M63.8 M74.34 M439.19 M513.56 M 475.26 M