Financials
Value 202020212022202320242025 TTM Cash from investing activities -104.17 M-53.74 M2.96 M-60.57 M-101.72 M105.68 M 114.64 M Cash from financing activities -96.74 M11.26 M-699.1 M-208.08 M-168.89 M-185.66 M -253.53 M Free cash flow 441.73 M282.63 M296.41 M284.93 M242.24 M72.61 M 157.87 M