Financials
Value 202020212022202320242025 TTM Cash from investing activities -9.86 M-140.81 M-1.19 B164.63 M499.37 M310.37 M 310.37 M Cash from financing activities 529.47 M100.33 M34.76 M7.48 M4.39 M3.79 M 3.79 M Free cash flow -197.49 M-69.41 M1.6 B-800.36 M-453.65 M386.95 M -344.86 M