Financials
Value 202020212022202320242025 TTM Cash from investing activities -230 M-2.44 M-166.23 M-5.82 M-98 K51.74 M -25.06 M Cash from financing activities 231.66 M-55.02 M-136.77 M-67.02 M-137.25 M-168.57 M -96.53 M Free cash flow -508.43 K234.91 M-17.77 M145.88 M223.36 M30.48 M 88.1 M