Financials
Value 202020212022202320242025 TTM Cash from investing activities 87.92 M-477.29 M-51.83 M-316.72 M334.09 M-142.92 M -142.92 M Cash from financing activities -46.77 M412.35 M64.63 M296.13 M-341.17 M87.87 M 87.87 M Free cash flow 12.22 M13.85 M16.29 M24.74 M27.13 M9.35 M 10.1 M