Financials
Value 202020212022202320242025 TTM Cash from investing activities -11.17 M-210.24 M-30.81 M-47.35 M-43.48 M732.88 M 766.08 M Cash from financing activities -45.31 M-70.44 M-108.02 M-57.98 M87.48 M37.44 M 128.74 M Free cash flow 149.3 M214.28 M151.18 M161.52 M64.93 M63.86 M -439.39 M