Financials
Value 202020212022202320242025 TTM Cash from investing activities 254.4 M108.25 M27.2 M68.3 M257.71 M147.85 M 147.85 M Cash from financing activities 339.02 M153.88 M117.19 M3.22 M485.67 M238.64 M 238.64 M Free cash flow -4.47 M78.74 M147.56 M72.96 M163.31 M235.46 M 235.46 M