Financials
Value 202020212022202320242025 TTM Cash from investing activities -167.99 M-274.83 M48.88 M-211.8 M-318.87 M-362.13 M -538.33 M Cash from financing activities -79.26 M-83.49 M-365.31 M-238.85 M-237.98 M-240.32 M 6.86 M Free cash flow 263.26 M384.9 M250.45 M464.26 M560.22 M614.22 M 553.54 M