Financials
Value 202020212022202320242025 TTM Cash from investing activities 43.56 M10.92 M-3.61 M-7.75 M-8.66 M-5.75 M — Cash from financing activities -8.37 M330.88 M4.73 M1.82 M103.83 M-2.93 M — Free cash flow 534.3 M408.24 M253.17 M-9.33 M826.42 M1.31 B 210.95 M