Financials
Value 202020212022202320242025 TTM Cash from investing activities -51.43 M-250.37 M-1.18 B-1.13 B-620.84 M-515.34 M -473.1 M Cash from financing activities 74.02 M118.67 M674.03 M533.56 M-177.41 M79.17 M 108.56 M Free cash flow 0147.01 M504.01 M756.39 M690.39 M-10.48 M -9.92 M