Financials
Value 202020212022202320242025 TTM Cash from investing activities -31.21 M-31.36 M-38.74 M-34.63 M-28.31 M-31.14 M -27.9 M Cash from financing activities -82.28 M-44.45 M-775.77 M-182.64 M-154.01 M-860.39 M -501.75 M Free cash flow 258.68 M263.33 M388.05 M433.37 M608.82 M713.22 M 739.17 M