Financials
Value 202020212022202320242025 TTM Cash from investing activities -201.24 M-440.1 M-467.82 M-25.75 M387.15 M-24.44 M -24.44 M Cash from financing activities 361.1 M451.07 M183.4 M142 M-472.58 M103.3 M 103.3 M Free cash flow 34.89 M35.89 M34.53 M27.33 M31.35 M43.34 M 43.34 M