Financials
Value 202020212022202320242025 TTM Cash from investing activities -82 M-92.36 M-67.03 M279.17 M-153.34 M16.28 M 16.28 M Cash from financing activities 207.91 M-401.21 M-120.01 M-563.16 M-80.63 M-33.05 M -33.05 M Free cash flow 258.76 M75.97 M-61.88 M234.31 M-67.5 M-140.8 M -140.8 M