Financials
Value 20202021202220232024 TTM Cash from investing activities 215.34 M117.43 M1.03 M110.97 M29.02 M 88.03 M Cash from financing activities 312.54 M3.33 M117.09 M190.15 M11.49 M 2.47 M Free cash flow 174.86 M187.34 M186.62 M159.16 M3.47 M 94.33 M