Financials
Value 202020212022202320242025 TTM Cash from investing activities -30.11 M-161.13 M-140.45 M-576.37 M-81.35 M-55.62 M -36.17 M Cash from financing activities -158.13 M-145.74 M73.06 M770.4 M128.51 M-71.98 M -198.33 M Free cash flow 304.68 M373.88 M76.59 M-222.24 M-25.66 M72.81 M 218.74 M