Financials
Value 202020212022202320242025 TTM Cash from investing activities -36.39 M-85.63 M-75.56 M-54.28 M-36.51 M-20.94 M — Cash from financing activities 696.53 M526.91 M-2.41 M-3.68 M-1.53 M-2.58 M — Free cash flow -42.93 M-80.48 M-132.17 M-104.57 M-108.1 M-56.17 M —