Financials
Value 202020212022202320242025 TTM Cash from investing activities -477.86 M-930.55 M-651.82 M-110.27 M5.87 M126.83 M 220.92 M Cash from financing activities 209.58 M1.16 B255.27 M-6.51 M35.7 M-30.73 M -189.98 M Free cash flow 142.56 M65.43 M134.69 M82.1 M63.5 M37.7 M 71.6 M