Financials
Value 202020212022202320242025 TTM Cash from investing activities 244.89 M-390.5 M-232.55 M161.31 M299.07 M-224.23 M -693.63 M Cash from financing activities -303.4 M566.1 M20.74 M-219.85 M-352.74 M248.48 M 667.17 M Free cash flow 31.81 M40.59 M32.7 M45.61 M19.39 M4.1 M 9.58 M