Financials
Value 202020212022202320242025 TTM Cash from investing activities 79.36 M263.41 M197.33 M143.37 M307.58 M1.28 B 844.01 M Cash from financing activities 41.89 M123.85 M159.14 M264 K126.11 M1.07 B 481.93 M Free cash flow 52.6 M-7.83 M-52.35 M59.35 M121.15 M153.37 M 186.64 M