Financials
Value 20212022202320242025 TTM Cash from investing activities -42.47 M-43.27 M-40.46 M-33.44 M-35.23 M -30.41 M Cash from financing activities -247.77 M-10.62 M-81.66 M-138.62 M-63.3 M -72.8 M Free cash flow 233.68 M83.15 M114.11 M121.75 M105.85 M 110.56 M