Financials
Value 20202021202220232024 TTM Cash from investing activities -44.63 M-151.68 M-183.93 M-306.16 M-395.2 M -215.05 M Cash from financing activities -383.44 M142.01 M-67.43 M-75.91 M37.69 M -241.93 M Free cash flow 323.73 M151.61 M-36.17 M40.48 M98.64 M 296.83 M