Financials
Value 202020212022202320242025 TTM Cash from investing activities -26.21 M-196.57 M-52.03 M-42.52 M-110.42 M-32.53 M -32.23 M Cash from financing activities -206.07 M39.09 M-91.1 M-103.49 M19.22 M-38.47 M -48.18 M Free cash flow 205.01 M143.72 M119.34 M114.83 M56.25 M31.14 M 43.25 M