Financials
Value 202020212022202320242025 TTM Cash from investing activities -393.92 M-74.43 M-414.21 M-132.93 M-344.31 M-424.45 M -417.65 M Cash from financing activities 345.34 M181.64 M32.67 M261.99 M-7.94 M261.01 M 286.1 M Free cash flow 85.48 M156.42 M119.84 M143.64 M143.19 M134.73 M 134.97 M