Financials
Value 20212022202320242025 TTM Cash from investing activities -305.57 M-218.39 M-102.1 M-7.01 M-54.47 M -60.11 M Cash from financing activities 293.37 M247.53 M272 M-109.17 M323.73 M 269.29 M Free cash flow -54.51 M-65.48 M-94.91 M-144.83 M-183.59 M -175.8 M