Financials
Value 20202021202220232024 TTM Cash from investing activities 259.12 M356.08 M252.36 M79 K87.46 M 286.41 M Cash from financing activities 227.03 M309.46 M167.97 M86.8 M166.11 M 351.13 M Free cash flow -210.67 M-304.4 M-180.35 M47.12 M-50.2 M -196.07 M