Financials
Value 202020212022202320242025 TTM Cash from investing activities -173.44 M-340.67 M-218.1 M334.69 M195.17 M-171.99 M -210.01 M Cash from financing activities 149.53 M442.73 M-139.4 M-385.32 M-116.69 M220.91 M 151.5 M Free cash flow 39.86 M44.21 M55.28 M35.66 M28.36 M39.08 M 35.23 M