Financials
Value 20202021202220232024 TTM Cash from investing activities -91.47 M-1.05 B-329.1 M-529.8 M-386.9 M -337.6 M Cash from financing activities -177.64 M762.81 M-179.4 M187.1 M105.8 M 36.5 M Free cash flow 283.13 M444.47 M364.2 M312.3 M-100.6 M -33.3 M