Financials
Value 202020212022202320242025 TTM Cash from investing activities -6.88 M-35.3 M-65.45 M-73.55 M-89.22 M-119.55 M -378.83 M Cash from financing activities -290.24 M-136.32 M-442.38 M-196.47 M-218.05 M-313.93 M -199.03 M Free cash flow 349.49 M464.67 M193.64 M308.54 M439.09 M340.37 M 376.53 M