Financials
Value 202020212022202320242025 TTM Cash from investing activities 17.8 M35.35 M-536.78 M288.66 M263.91 M139.85 M 187.39 M Cash from financing activities 175.91 M137.31 M-28.84 M-404.92 M-60.62 M-67.81 M -37.26 M Free cash flow 42.65 M45.18 M57.86 M59.06 M54.93 M60 M 43.27 M