Financials
Value 202020212022202320242025 TTM Cash from investing activities -66.26 M-109.8 M26.55 M-1.96 M-1.23 M-1.2 M 5.72 M Cash from financing activities -434.16 M-85.97 M-244.63 M-121.56 M-116.48 M-75.37 M -36.89 M Free cash flow 184.91 M173.76 M215.02 M125.2 M131.91 M70.44 M 95.23 M