Financials
Value 202020212022202320242025 TTM Cash from investing activities -588.91 M169.37 M-704.71 M-408.52 M-208.74 M83.17 M 83.17 M Cash from financing activities 739.54 M374.76 M-208.15 M392.47 M131.16 M-134.85 M -134.85 M Free cash flow 10.38 M62.4 M55.74 M49.17 M44.47 M71.8 M 71.8 M