Financials
Value 202020212022202320242025 TTM Cash from investing activities -213.64 M-26.25 M-516.36 M124.09 M354.01 M615.05 M -123.66 M Cash from financing activities 27 M-16.31 M-4.59 M-328.87 M-479.36 M-372.87 M -317.03 M Free cash flow 112.98 M70.03 M-264.15 M202.87 M159.06 M234.22 M 143.81 M