Financials
Value 202020212022202320242025 TTM Cash from investing activities -82.26 M-150.68 M-135.91 M-364.63 M-215.71 M-135.38 M -135.38 M Cash from financing activities 55.24 M-61.3 M-228.97 M-34.31 M-189.19 M-239.49 M -239.49 M Free cash flow -110.51 M-163.24 M224.24 M35.59 M327.05 M282.02 M 282.02 M