Financials
Value 202020212022202320242025 TTM Cash from investing activities -128.46 M-452.64 M-467.91 M-206.09 M-142.07 M129.9 M -93.21 M Cash from financing activities 336.88 M388.45 M252.33 M387.61 M386.09 M159.88 M 171.63 M Free cash flow 23.76 M26.52 M36.87 M21.71 M33.73 M-9.98 M 35.27 M