Financials
Value 202020212022202320242025 TTM Cash from investing activities -50.5 M-43.2 M-99.6 M-89.7 M-252.9 M405.8 M 405.8 M Cash from financing activities -52.3 M-229.2 M-139.5 M-176.1 M137.3 M-446 M -446 M Free cash flow 71 M226 M148.9 M154.6 M124.2 M50.9 M 50.9 M