Financials
Value 202020212022202320242025 TTM Cash from investing activities -194.71 M-494.27 M-79.73 M-119.22 M-79.61 M-98.14 M -92.75 M Cash from financing activities -7.09 M393.01 M-35.56 M-24.85 M-4.19 M-9.82 M 9.08 M Free cash flow 33.78 M-12.67 M115.96 M144.41 M87.82 M103.24 M 83.43 M