Financials
Value 202020212022202320242025 TTM Cash from investing activities 100.27 M186.49 M450.66 M672.33 M643.11 M435.04 M 435.04 M Cash from financing activities 28.87 M2.06 M55.77 M349.31 M202.71 M167.54 M 167.54 M Free cash flow -18.21 M-63.33 M78.46 M411.29 M178.34 M14.11 M 14.11 M