Financials
Value 202020212022202320242025 TTM Cash from investing activities 64.6 M-208.3 M115.5 M-543.9 M-447 M-666.9 M -704 M Cash from financing activities 49 M217.6 M-344.9 M7.2 M4.2 M35.6 M -92.2 M Free cash flow -60.6 M38.6 M365 M404.1 M586.8 M550.5 M 621.2 M