Financials
Value 202020212022202320242025 TTM Cash from investing activities -165.91 M54.32 M-326.75 M-88.51 M-107.78 M-53.64 M -61.88 M Cash from financing activities -13.05 M-29.95 M-27.73 M-23.38 M-41.08 M-171.07 M -156.15 M Free cash flow 179.96 M191.12 M148.19 M112.03 M161.59 M225.24 M 229.5 M