Financials
Value 202020212022202320242025 TTM Cash from investing activities -87.3 M-52.1 M-177.4 M-43.8 M-69.7 M-88.3 M -430.8 M Cash from financing activities 247.7 M-9.3 M-63.3 M-30.7 M277.6 M360.7 M 1.67 B Free cash flow 46.6 M30.8 M-71.1 M12.8 M-8.5 M-137.4 M -132.9 M