Financials
Value 202020212022202320242025 TTM Cash from investing activities -25.64 M-286.35 M-206.11 M-341.98 M-326.64 M-421.14 M -335.92 M Cash from financing activities -210.59 M-656.46 M-475.96 M-355.04 M-493.02 M-347.77 M -416.45 M Free cash flow 499.12 M659.39 M655.82 M719.59 M790.2 M827.69 M 819.39 M