Financials
Value 20212022202320242025 TTM Cash from investing activities -320 M-17.95 M-299.46 M156.48 M-350.74 M -330.06 M Cash from financing activities 324.2 M362.45 M-24.1 M371.04 M668 K 428.62 M Free cash flow -3.38 M-148.25 M230.79 M-58.08 M866.94 M 894.43 M