Financials
Value 202020212022202320242025 TTM Cash from investing activities -168.68 M-409.76 M-804.7 M-149.46 M-203.28 M27.64 M 27.64 M Cash from financing activities 479.64 M550.34 M114.73 M218.2 M352.76 M-7.77 M -7.77 M Free cash flow 23.11 M52.44 M51.76 M36.05 M55.23 M58.65 M 58.65 M