Financials
Value 202020212022202320242025 TTM Cash from investing activities -76.33 M-127.36 M-142.18 M-259.43 M-165.03 M47.66 M 47.66 M Cash from financing activities -82.44 M-30.85 M-380.07 M-682.2 M-107.08 M-199.79 M -199.79 M Free cash flow 43.33 M172.82 M479.48 M690.16 M298.4 M21.17 M 21.17 M