Financials
Value 202020212022202320242025 TTM Cash from investing activities 14.4 M138.41 M166.85 M144.64 M230.32 M375.09 M 375.09 M Cash from financing activities 223.95 M51.88 M54.33 M69.6 M186.97 M273.7 M 273.7 M Free cash flow 146.91 M36.14 M239.09 M174.6 M20.44 M138.51 M 138.51 M