Financials
Value 202020212022202320242025 TTM Cash from investing activities -560.58 M-232.97 M-917.42 M-239.68 M174.97 M-127.35 M -127.35 M Cash from financing activities 1.1 B570.49 M-397.9 M129.69 M-136.52 M-80.79 M -80.79 M Free cash flow 128.18 M187.94 M171.11 M84.33 M125.36 M141.78 M 141.78 M