Financials
Value 202020212022202320242025 TTM Cash from investing activities 265.32 M304.65 M256.24 M155.64 M154.56 M742.11 M 742.11 M Cash from financing activities 25.05 M90.14 M13.95 M169.37 M252.78 M693.64 M 693.64 M Free cash flow -58.59 M74.97 M46.39 M212.41 M254.78 M295.29 M 295.29 M