Financials
Value 202020212022202320242025 TTM Cash from investing activities -145.98 M-397.34 M-39.54 M-24.09 M-44.85 M-41.98 M -65.4 M Cash from financing activities 186.1 M313.84 M-17.46 M-28.94 M-12.67 M-130.19 M -162.42 M Free cash flow 28.49 M53.33 M74.22 M103.61 M150.09 M91.11 M 105.43 M