Financials
Value 202020212022202320242025 TTM Cash from investing activities 175.99 M35.82 M328.15 M16.73 M307.03 M116.04 M 116.04 M Cash from financing activities 65.92 M147.67 M89.67 M21.11 M28.85 M13.2 M 13.2 M Free cash flow 273.83 M907.24 M214.51 M81.52 M242.19 M13.98 M 13.98 M