Financials
Value 202020212022202320242025 TTM Cash from investing activities -22.37 M-119.36 M-1.36 B68.7 M10.06 M-206.05 M -450.16 M Cash from financing activities 521.96 M666.11 M-24.19 M-9.92 M-4.79 M1.25 B 1.23 B Free cash flow 3.28 M101.97 M343.51 M62.7 M13.35 M-155.75 M -94.47 M