Financials
Value 202020212022202320242025 TTM Cash from investing activities -117.88 M-257.67 M-23.29 M-196.71 M-22.2 M-611.2 M -100.5 M Cash from financing activities -165.91 M165.72 M254.59 M-274.66 M1.11 B1.02 B 474.8 M Free cash flow 227.21 M319.36 M365.1 M485.04 M533.9 M403.5 M 575.1 M