Financials
Value 202020212022202320242025 TTM Cash from investing activities -290.18 M-363.04 M-69.1 M-127.01 M-409.64 M-285.29 M -285.29 M Cash from financing activities 144.1 M250.17 M-59.71 M17.19 M252.88 M31.92 M 31.92 M Free cash flow -87.48 M-96.33 M32.2 M114.48 M162.63 M259.19 M 259.19 M