Financials
Value 202020212022202320242025 TTM Cash from investing activities -30.7 M-45.37 M60.25 M-37.78 M-45.05 M7.22 M -50.55 M Cash from financing activities -261.57 M-256.88 M-171.06 M-111.55 M-288.2 M-336.65 M -343.32 M Free cash flow 336.3 M220.47 M143.38 M168.52 M358.75 M289.48 M 284.74 M