Financials
Value 202020212022202320242025 TTM Cash from investing activities -311.8 M-125.55 M-53.34 M-53.48 M-165.36 M-152.27 M -152.27 M Cash from financing activities 406.13 M1.44 M11.03 M18.37 M21.23 M31.21 M 31.21 M Free cash flow 25.94 M23.07 M16.8 M72.17 M107.78 M142.27 M 142.27 M