Financials
Value 202020212022202320242025 TTM Cash from investing activities -143.12 M-212.74 M-230.89 M-77.34 M-397.12 M-550.01 M -550.01 M Cash from financing activities 257.17 M-93.05 M-140.24 M-62.87 M158.58 M38.17 M 38.17 M Free cash flow 78.23 M-185.89 M125.21 M63.34 M-105.09 M-361.48 M 50.55 M