Financials
Value 202020212022202320242025 TTM Cash from investing activities 65.76 M702.17 M-241.16 M-146.22 M-43.74 M-43.74 M — Cash from financing activities -185.2 M-565.4 M-56.42 M60.24 M-51.43 M0 — Free cash flow 26.08 M-106.41 M-168.43 M-61.14 M47.85 M95.24 M 59.52 M