Financials
Value 202020212022202320242025 TTM Cash from investing activities -380.45 M-349.61 M-335.12 M132.66 M32.35 M-39.64 M 177.58 M Cash from financing activities 377.68 M403.33 M-32.57 M-171.4 M-125.28 M-60.85 M -184.67 M Free cash flow 31.25 M43.1 M72.59 M65.83 M89.37 M85.07 M 83.15 M