Financials
Value 202020212022202320242025 TTM Cash from investing activities -78.97 M-62.2 M-248.6 M-120.85 M-112.12 M7.46 M -76.81 M Cash from financing activities 117.71 M5.17 M74.03 M-56.73 M-150.67 M-276.68 M -235.12 M Free cash flow -83.69 M-2.31 M206.24 M237.56 M224.41 M162.09 M 161.17 M