Financials
Value 202020212022202320242025 TTM Cash from investing activities -117.32 M-375.94 M-110.36 M302.97 M-176.05 M-355.01 M -669.07 M Cash from financing activities -38.66 M54.15 M-109.96 M-231.82 M-27.7 M-679.16 M -25.57 M Free cash flow 198.79 M276.27 M178.47 M243.5 M520.64 M753.45 M 778.51 M