Financials
Value 202020212022202320242025 TTM Cash from investing activities -125.96 M-81.71 M133.8 M-91.34 M-138.5 M27.66 M 38.95 M Cash from financing activities -145.81 M-44.26 M-321.19 M-111.88 M-196.1 M-153.07 M -122.51 M Free cash flow 82.69 M277.26 M367.2 M129 M14.89 M96.36 M 76.05 M