Financials
Value 202020212022202320242025 TTM Cash from investing activities -234.23 M-142.12 M-24.12 M-342.6 M-554.39 M118.06 M 118.06 M Cash from financing activities 422.78 M294.18 M301.43 M1.23 B959.41 M621.52 M 621.52 M Free cash flow -103 M-153.71 M-235.22 M-358.3 M-567.74 M-913.73 M -913.73 M