Financials
Value 202020212022202320242025 TTM Cash from investing activities -170.96 M-238.32 M-449 M-340.7 M-335.78 M-124.49 M -124.49 M Cash from financing activities 136.47 M172.04 M321.38 M271.18 M239.99 M30.2 M 30.2 M Free cash flow 78.71 M78.73 M108.74 M113.76 M115.51 M126.28 M 126.28 M