Financials
Value 202020212022202320242025 TTM Cash from investing activities -123.49 M-273.76 M9.51 M-244.67 M-322.99 M-202.03 M -201.72 M Cash from financing activities 31.75 M73.73 M-115.19 M113.41 M6.29 M11.48 M -33.85 M Free cash flow 140.17 M204.32 M463.07 M71.45 M240.76 M168.22 M 184.5 M