Financials
Value 202020212022202320242025 TTM Cash from investing activities -76.64 M-104.75 M-201.14 M-317.11 M-239.03 M2.11 M -62.8 M Cash from financing activities -16.77 M-317.42 M-195.5 M-187.13 M-23.51 M-289.09 M -202.09 M Free cash flow 138.85 M402.45 M390.92 M532.42 M228.13 M276.69 M 278.53 M