Financials
Value 202020212022202320242025 TTM Cash from investing activities -277.61 M-20.79 M-225.19 M77.54 M-83.28 M99.48 M 144.55 M Cash from financing activities 222.3 M380.69 M-401.53 M-183.03 M17.36 M-369.63 M -426.03 M Free cash flow 77.03 M125.72 M145.27 M154.65 M189.39 M136.66 M 132.71 M