Financials
Value 20202021202220232024 TTM Cash from investing activities -92.9 M-110.89 M-115.82 M-96.09 M-76.61 M -74.65 M Cash from financing activities -234.32 M-84.56 M-136.81 M-113.34 M-104.62 M -113.36 M Free cash flow 258.94 M119.2 M173.03 M133.65 M73.45 M 105.58 M