Financials
Value 202020212022202320242025 TTM Cash from investing activities —-125.19 M-26.49 M-10.83 M1.06 M-4.4 M -4.39 M Cash from financing activities —390.65 M47.56 M-13.72 M-15.87 M1.03 M 4.15 M Free cash flow —-215.25 M-47.17 M-22.54 M2.56 M21.75 M 18.37 M