Financials
Value 202020212022202320242025 TTM Cash from investing activities -39.85 M-58.8 M-870.24 M-103.25 M-259.26 M-136.23 M -105.18 M Cash from financing activities -126.78 M-71.62 M465.53 M-199.03 M-261.46 M-186.08 M -212.2 M Free cash flow 166.87 M101.48 M-475.98 M313.52 M77.02 M293.99 M 352.67 M