Financials
Value 202020212022202320242025 TTM Cash from investing activities -304.41 M-133.96 M73.76 M295.25 M246.09 M-348.22 M -463.77 M Cash from financing activities 429.99 M511.29 M-568.63 M-435.94 M133.27 M-240.55 M 333.58 M Free cash flow 40.36 M34.81 M109.07 M168.22 M132.62 M92.61 M 115.3 M