Financials
Value 202020212022202320242025 TTM Cash from investing activities 48.11 M899.36 M142.98 M34.58 M105.19 M44.89 M 103.28 M Cash from financing activities 60.56 M420.48 M66.81 M37.55 M25.44 M156.64 M 124.69 M Free cash flow 221.22 M170.51 M-81.17 M327.67 M351.76 M291.09 M 287.77 M