Financials
Value 202020212022202320242025 TTM Cash from investing activities 164.25 M1.31 B242.8 M203.5 M34.7 M407.6 M 407.6 M Cash from financing activities 504.67 M278.6 M4.7 M374.7 M7.9 M91.4 M 91.4 M Free cash flow -96.2 M554.7 M266.7 M344.9 M257.5 M271.9 M 271.9 M