Financials
Value 202020212022202320242025 TTM Cash from investing activities -40.93 M-49.3 M-185.73 M-79.13 M-67.21 M-86.18 M -90.47 M Cash from financing activities -124.3 M-28.09 M-9.27 M-18.37 M-39.96 M-94.07 M -85.45 M Free cash flow 175.17 M137.23 M167.48 M71.02 M87.11 M326.57 M 328.03 M