Financials
Value 202020212022202320242025 TTM Cash from investing activities 109.9 M-84.61 M-113.28 M-110.89 M-111.85 M-117.86 M -160.67 M Cash from financing activities -6.25 M-16.25 M-2.83 M23.69 M-50.18 M274.42 M -157.09 M Free cash flow 20.55 M22.84 M34.64 M61.39 M77.84 M110.42 M 131.16 M