Financials
Value 202020212022202320242025 TTM Cash from investing activities -146.29 M-849.61 M-50.87 M-71.6 M-66.17 M-67.79 M -67.79 M Cash from financing activities -244.37 M526.13 M-411.66 M-798.13 M-576.55 M-273.38 M -273.38 M Free cash flow 375.88 M275.83 M441.24 M828.13 M599.71 M309.52 M 309.52 M