Financials
Value 202020212022202320242025 TTM Cash from investing activities -230.77 M-410.63 M-792.58 M-378.57 M-28.86 M-206.33 M -206.33 M Cash from financing activities 183.02 M399.08 M745.94 M346.22 M9.99 M282.6 M 282.6 M Free cash flow 13.34 M51.56 M36.35 M16.41 M24.77 M29.88 M 29.88 M