Financials
Value 20212022202320242025 TTM Cash from investing activities -245.8 M210.56 M172.01 M17.45 M-40.24 M -40.24 M Cash from financing activities 631.75 M4.91 M31.65 M199.75 M128.73 M 128.73 M Free cash flow -280.92 M-310.93 M-273.61 M-256.58 M-144.77 M -144.77 M