Financials
Value 202020212022202320242025 TTM Cash from investing activities -77.67 M-18.37 M-33.33 M-163.01 M-124.28 M-75.12 M -75.12 M Cash from financing activities -121.22 M-178.73 M-230.27 M-201.68 M-283.23 M-314.17 M -314.17 M Free cash flow 348.94 M124.75 M339.57 M421.67 M444.37 M650.6 M 650.6 M