Financials
Value 202020212022202320242025 TTM Cash from investing activities -421.78 M-70.49 M177.91 M-122.18 M-117.58 M-494.82 M -494.82 M Cash from financing activities 270.66 M-113.22 M-364.15 M4.4 M-19.16 M155.78 M 155.78 M Free cash flow 188.16 M169.52 M226.59 M120.85 M300.82 M419.07 M 419.07 M