Financials
Value 202020212022202320242025 TTM Cash from investing activities -89.06 M-524.17 M442.85 M-770 K-671.16 M-539.79 M -539.79 M Cash from financing activities -485.55 M-341.12 M-789.45 M-473.31 M26.32 M-838.26 M -838.26 M Free cash flow 493.91 M-50.08 M331.39 M312.04 M-60.05 M154.56 M 154.56 M