Financials
Value 202020212022202320242025 TTM Cash from investing activities —-287.5 M-13.32 M-42.54 M-58.74 M-44.61 M -32.59 M Cash from financing activities —288.88 M217.77 M-5.48 M-252 K123.05 M 157.14 M Free cash flow —-1.15 M-23.35 M-92.66 M-55.86 M-5.65 M -56.72 M