Financials
Value 20212022202320242025 TTM Cash from investing activities -287.5 M786.92 K231.58 M0-417.62 M -375.37 M Cash from financing activities 289.82 M705 K-227.56 M70.1 M531.24 M 589.03 M Free cash flow -2.01 M-1.71 M-3.84 M-70.1 M-769.33 M -761.36 M