Financials
Value 202020212022202320242025 TTM Cash from investing activities -106.33 M-123.73 M-134.96 M-172.54 M-152.14 M-42.88 M -42.88 M Cash from financing activities -48.61 M-56.6 M-60.93 M-19.23 M-18.62 M-19.6 M -19.6 M Free cash flow 189.6 M171.2 M219.49 M164.38 M134.81 M93.49 M 93.49 M