Financials
Value 202020212022202320242025 TTM Cash from investing activities -215.57 M-179.51 M-319.66 M-334.77 M-515.86 M491.77 M 591.43 M Cash from financing activities 222.46 M-51.47 M7.43 M37.01 M53.49 M-910.01 M -1.08 B Free cash flow 88.91 M238.73 M273.17 M350.97 M598.6 M576.65 M 657.91 M