Financials
Value 202020212022202320242025 TTM Cash from investing activities -314.94 M43.72 M-56.63 M-66.76 M-63.79 M40.5 M 112.18 M Cash from financing activities -29.79 M-452.5 M-55.57 M-171.84 M-13.45 M8.55 M -11.78 M Free cash flow 313.11 M363.81 M201.73 M141.06 M188.69 M195.8 M 183.09 M