Financials
Value 202020212022202320242025 TTM Cash from investing activities -35.7 M-57.86 M-71.97 M-53.82 M-34.21 M-38.33 M -30.91 M Cash from financing activities -463.68 M-471.79 M-176.27 M18.71 M155.72 M-341 K -477 K Free cash flow 563.65 M443.04 M324.63 M76.56 M-40.09 M-81.62 M -64.36 M