Financials
Value 202020212022202320242025 TTM Cash from investing activities -22.36 M-232.68 M15 M-88.88 M-516 K-20.35 M — Cash from financing activities 3.26 M-4.49 M-211.07 M-93.59 M-88.22 M-80.74 M — Free cash flow 102.61 M388.28 M82.91 M152.84 M115.98 M140.03 M —