Financials
Value 202020212022202320242025 TTM Cash from investing activities -321.68 M72.5 M13.07 M-50.75 M-202.58 M197.25 M -61.89 M Cash from financing activities 423.45 M-121.84 M-46.99 M-81.96 M-30.21 M-834.63 M -412.81 M Free cash flow -563 K39.12 M22.34 M217.78 M345.93 M505.23 M 513.25 M