Financials
Value 20202021202220232024 TTM Cash from investing activities -31.83 M-111.45 M-150.09 M-255.34 M-179.93 M -211.22 M Cash from financing activities -213.35 M-39.27 M-48.74 M-33.25 M-62.06 M -103.46 M Free cash flow 45.03 M114.35 M254.5 M227.45 M296.54 M 313.34 M