Financials
Value 202020212022202320242025 TTM Cash from investing activities -17.2 M-387.52 M-286.17 M-116.27 M175.66 M90.84 M 111.14 M Cash from financing activities 436.59 M489.36 M459 M475.43 M134.34 M114.13 M 89.9 M Free cash flow -233.16 M-230.76 M-380.24 M-448.19 M-352.7 M-240.14 M -217.72 M