Financials
Value 202020212022202320242025 TTM Cash from investing activities 4.67 M117.13 M476.84 M51.6 M13.32 M11.6 M 10.9 M Cash from financing activities 151.14 M36.5 M456.4 M213.72 M114.11 M42.61 M 49.17 M Free cash flow 206.17 M149.53 M-8.2 M105.69 M8.01 M79.02 M 118.74 M