Financials
Value 202020212022202320242025 TTM Cash from investing activities 4.08 M-391.59 M-128.04 M-212.62 M-41.43 M-174.58 M -174.58 M Cash from financing activities 36.4 M397.65 M23.32 M1.25 M-79.4 M-234.09 M -234.09 M Free cash flow 43.95 M90.2 M112 M141.1 M206.78 M250.17 M 250.17 M