Financials
Value 202020212022202320242025 TTM Cash from investing activities -39.18 M-378.89 M-12.51 M-178.73 M223.05 M-157.27 M -112.11 M Cash from financing activities -71.56 M-90.21 M-128.78 M-183.72 M-872.23 M-285.86 M -305.21 M Free cash flow 267.8 M320.01 M246.67 M638.21 M788.41 M838.2 M 832.07 M