Financials
Value 202020212022202320242025 TTM Cash from investing activities -35.35 M-175.26 M-416.63 M-233.59 M-3.75 M-104.67 M -152.67 M Cash from financing activities 623.44 M232.26 M-230.87 M96.87 M8.12 M135.69 M 96.5 M Free cash flow 62.16 M55.37 M78.63 M64.13 M59.44 M57.6 M 68.14 M