Financials
Value 202020212022202320242025 TTM Cash from investing activities -11.33 M-104.29 M-164.21 M173.15 M132.57 M-108.17 M -89.53 M Cash from financing activities 1.24 B797.71 M-469.49 M97.34 M-165.99 M37.88 M 18.93 M Free cash flow -355.25 M-568.69 M-109.06 M-533.68 M-97.04 M75.15 M 76.72 M