Financials
Value 202020212022202320242025 TTM Cash from investing activities -128.45 M-956.53 M-32.29 M301.17 M440.53 M311.48 M 260.63 M Cash from financing activities 69.54 M1.08 B17.64 M-365.92 M-671.95 M-279.37 M -203.63 M Free cash flow 57.69 M50.89 M6.65 M24.5 M263.55 M-59.71 M -21.82 M