Financials
Value 202020212022202320242025 TTM Cash from investing activities -232.3 M-281.22 M-241.79 M-83.75 M-61.1 M-147.07 M -147.07 M Cash from financing activities 14.05 M404.56 M-374.87 M-426.18 M-208.22 M-125.49 M -125.49 M Free cash flow 174.05 M-210.11 M471.87 M465.02 M327.95 M278.33 M 278.33 M