Financials
Value 202020212022202320242025 TTM Cash from investing activities 57.79 M-328.5 M-1.07 B-535.22 M-1.03 B-71.01 M -270.08 M Cash from financing activities 553.25 M338.11 M21.07 M552.87 M791.9 M168.57 M -284.64 M Free cash flow 59.61 M336.3 M204.14 M169.32 M211 M290.41 M 423.41 M