Financials
Value 202020212022202320242025 TTM Cash from investing activities -98.67 M-438.91 M-319.33 M5.45 M-263.09 M-34.43 M 47.54 M Cash from financing activities -194.78 M286.35 M106.78 M-322.09 M150.25 M-136.69 M -160.69 M Free cash flow 215.44 M62.78 M33.38 M269.42 M83.14 M131.91 M 80.49 M