Financials
Value 202020212022202320242025 TTM Cash from investing activities -114.4 M-79.81 M-270.77 M-90.55 M10.25 M70.32 M 83.77 M Cash from financing activities 227.74 M283.9 M16.72 M-45.56 M-44.39 M-93.31 M -131.71 M Free cash flow 24.63 M-8.42 M56.88 M38.34 M30.51 M20.28 M 22.22 M