Financials
Value 202020212022202320242025 TTM Cash from investing activities -283.93 M-634.43 M-1.4 B-1.86 B-1.67 B-1.25 B -1.25 B Cash from financing activities -62.4 M246.06 M467.37 M684.69 M266.83 M-247.46 M -247.46 M Free cash flow 47.76 M-197.32 M-431.36 M-661.93 M-283.19 M252.83 M 252.83 M