Financials
Value 202020212022202320242025 TTM Cash from investing activities 7.46 M-303.2 M-261.08 M-21.7 M-187.28 M-76.7 M -80.12 M Cash from financing activities -111.41 M-247.65 M-127.98 M-196.61 M-233.35 M-177.66 M -190.83 M Free cash flow 100.94 M205.4 M240.17 M322.17 M285.85 M228.95 M 260.89 M