Financials
Value 20202021202220232025 TTM Cash from investing activities -84.44 M-804.16 M-653.92 M-45.18 M-3.9 M 8.66 M Cash from financing activities 633.33 M-30.39 M85.54 M209.73 M-233.34 M -229.3 M Free cash flow -289.48 M141.34 M153.59 M-19.66 M243.35 M 373.24 M