Financials
Value 202020212022202320242025 TTM Cash from investing activities 29.12 M-20.93 M-578.59 M42.22 M-69.37 M-74.69 M 174.98 M Cash from financing activities -87.29 M-343.55 M478.18 M-207.36 M-131.19 M-60.03 M -245.55 M Free cash flow 143.53 M201.12 M116.41 M140.05 M68.82 M74.14 M 12.21 M