Financials
Value 202020212022202320242025 TTM Cash from investing activities -313.79 M-60.52 M-228.74 M-130.75 M-122.28 M-38.38 M -42.66 M Cash from financing activities 339.45 M-14.2 M232.59 M83.03 M200.73 M-21.38 M -11.83 M Free cash flow 17.02 M60.39 M33.54 M31.63 M14.74 M14.81 M 19.96 M