Financials
Value 20212022202320242025 TTM Cash from investing activities -620.46 M-139.56 M59.64 M-30.11 M-40.94 M -51.75 M Cash from financing activities 631.13 M-62.87 M-134.61 M-99.98 M-277.31 M -183.13 M Free cash flow 24.45 M53.48 M84.37 M184.33 M163.45 M 200.81 M