Financials
Value 202020212022202320242025 TTM Cash from investing activities —-20.79 M-141.33 M-43.73 M-30.13 M-61.52 M -61.52 M Cash from financing activities —493.73 M197.31 M186.24 M44.16 M48.02 M 48.02 M Free cash flow —-211.22 M-333.48 M-185.86 M-33.99 M14.26 M 14.26 M