Financials
Value 202020212022202320242025 TTM Cash from investing activities -269 M-207.7 M-78.54 M-207.68 M157.52 M-102.61 M -191.91 M Cash from financing activities 71.71 M6.18 M-794 K-20.03 M-2.02 B101.04 M 198.54 M Free cash flow -311.98 M568.48 M892.11 M496.49 M335.34 M1.41 B 1.52 B