Financials
Value 20202021202220232024 TTM Cash from investing activities -94.46 M58.98 M-189.45 M-47.94 M-112.01 M — Cash from financing activities 408.71 M117.68 M-239.29 M-1.13 M-2.7 M — Free cash flow 23.21 M-70.44 M17.89 M30.71 M-14.66 M —