Financials
Value 202020212022202320242025 TTM Cash from investing activities 113.79 M-239.69 M-165.72 M258.08 M-386.28 M-48.8 M -48.8 M Cash from financing activities -445.92 M-42.1 M-49.17 M-119.72 M-97.52 M-127.52 M -127.52 M Free cash flow -169.54 M-398.79 M-151.7 M88 M-216.33 M77.44 M 78.71 M