Financials
Value 202020212022202320242025 TTM Cash from investing activities -59.21 M-161.86 M-535.1 M-542.9 M-297.3 M21.6 M 688 M Cash from financing activities 96.07 M-124.07 M425.3 M375.8 M-23.6 M91.5 M -1.46 B Free cash flow 228.24 M278.26 M-35.1 M364.7 M382 M301.4 M 466.9 M