Financials
Value 202020212022202320242025 TTM Cash from investing activities 494.35 M337.76 M236.92 M183.45 M86.4 M298.2 M 298.2 M Cash from financing activities 342.63 M129.1 M93.87 M118.96 M394.98 M418.34 M 418.34 M Free cash flow -481.14 M-841.75 M-247.03 M55.7 M-74.28 M102.26 M 134.91 M