Financials
Value 202020212022202320242025 TTM Cash from investing activities -132.39 M105.26 M-52.43 M-1.21 M-122.98 M-277.06 M -277.06 M Cash from financing activities 214.32 M-28.58 M26.72 M8.82 M511.38 M12.61 M 12.61 M Free cash flow -27.31 M-65.82 M-52.84 M-90.53 M-30.55 M34.52 M 34.52 M