Financials
Value 202020212022202320242025 TTM Cash from investing activities 452.49 M-426.97 M89.12 M153.66 M125.99 M35.42 M 38.45 M Cash from financing activities 13.34 M-563 K46.78 M122.75 M-255 K-86.03 M -85.95 M Free cash flow 81.6 M-82.23 M-145.93 M-315.02 M-138 M-4.77 M -21.38 M