Financials
Value 202020212022202320242025 TTM Cash from investing activities -264.24 M-240.9 M-999.04 M-550.84 M231.3 M305.43 M 305.43 M Cash from financing activities 291.57 M116.31 M825.96 M491 M-265.27 M-395.89 M -395.89 M Free cash flow 33.07 M97.32 M106.87 M26.55 M53.67 M76.13 M 78.31 M