Financials
Value 202020212022202320242025 TTM Cash from investing activities -63.5 M134.31 M-171.7 M41.14 M-76.06 M218.69 M 218.69 M Cash from financing activities 247.82 M44.95 M194.83 M102.57 M353.03 M228.4 M 228.4 M Free cash flow -64.36 M-132.04 M-133.76 M-145.3 M-201.05 M-300.64 M -300.64 M