Financials
Value 202020212022202320242025 TTM Cash from investing activities -98.92 M-124.74 M-75.7 M29.05 M-33.48 M-191.47 M -130.22 M Cash from financing activities -30.93 M-47.2 M-95.93 M-22.71 M-64.61 M-13.63 M -11.87 M Free cash flow 169.26 M139.36 M131.79 M64.6 M117.53 M11.74 M 36.55 M