Financials
Value 202020212022202320242025 TTM Cash from investing activities -164.97 M-267.23 M-160.09 M120.21 M-50.72 M-26.87 M -26.87 M Cash from financing activities 64.93 M214.51 M41.37 M-212.35 M-43.67 M-69.06 M -69.06 M Free cash flow -137.78 M-225.41 M91.87 M89.52 M40.56 M-141.96 M 8.12 M