Financials
Value 202020212022202320242025 TTM Cash from investing activities -983.99 M-2.51 M-8.16 M-12.19 M-286.88 M-20.93 M -28.57 M Cash from financing activities 754.65 M-150.05 M-110.03 M-138.53 M115.9 M-191.21 M -140.62 M Free cash flow 56.25 M125.38 M104.88 M158.93 M209.23 M155.81 M 144.82 M