Financials
Value 20202021202220232024 TTM Cash from investing activities -83.97 M-479.95 M-417.92 M258.12 M41.11 M 127.06 M Cash from financing activities -104.56 M432.41 M317.27 M-308.74 M37.52 M -161.15 M Free cash flow 75.42 M81.3 M69.55 M43.97 M21.39 M 31.83 M