Financials
Value 202020212022202320242025 TTM Cash from investing activities 102.48 M74.45 M-167.56 M559.9 M1.84 B705.39 M 788.25 M Cash from financing activities -237.36 M-388.13 M-111.74 M-250.62 M-2.46 B-669.86 M -669.38 M Free cash flow 190.17 M282.51 M257.26 M238.53 M112.04 M19.61 M 9.58 M