Financials
Value 202020212022202320242025 TTM Cash from investing activities -64.41 M-91.33 M-132.21 M-192.46 M-114.4 M-108.21 M -1.59 B Cash from financing activities -210.28 M-77.32 M-314.3 M94.5 M-269.71 M-173.84 M 1.55 B Free cash flow 234.57 M265.05 M192.22 M43.8 M228.99 M473.3 M 734.23 M