Financials
Value 202020212022202320242025 TTM Cash from investing activities -223.74 M-194.01 M-634.78 M-327.07 M-382.86 M-34.22 M -414.99 M Cash from financing activities 130.93 M131.25 M405.76 M608.47 M146.66 M-95.97 M 252.57 M Free cash flow 90.52 M156.1 M226.52 M79.86 M101.85 M73.48 M 96.95 M