Financials
Value 202020212022202320242025 TTM Cash from investing activities 32.64 M-691 M-65.15 M-37.38 M-47.5 M-92.77 M -88.69 M Cash from financing activities 7.35 M678.05 M-30.17 M-177.84 M-28.9 M-75.08 M -270.71 M Free cash flow -12.06 M126.59 M192.55 M214.37 M235.2 M236.17 M 112.84 M