Financials
Value 202020212022202320242025 TTM Cash from investing activities -60.24 M-582.3 M-859.64 M24.34 M-59.7 M-675.27 M -752.35 M Cash from financing activities -28.38 M254.41 M636 M-334.82 M-221.19 M393.43 M 458.87 M Free cash flow 179.03 M244.94 M255.91 M271.07 M265.45 M269.79 M 287.41 M