Financials
Value 20202021202220232024 TTM Cash from investing activities -193.27 M-615.48 M-287.36 M394.57 M-151.8 M -339.2 M Cash from financing activities 41.27 M-6.73 M71.6 M-996.74 M-276 M -505.8 M Free cash flow 191.74 M349.57 M342.93 M452.49 M562.4 M 584.5 M