Financials
Value 202020212022202320242025 TTM Cash from investing activities 34.59 M35.3 M416.01 M34.81 M59.74 M43.89 M 43.89 M Cash from financing activities 101.16 M102.18 M246.68 M153.32 M133.81 M152.81 M 152.81 M Free cash flow 118.41 M124.37 M89.45 M183.76 M182 M216.56 M 216.56 M