Financials
Value 202020212022202320242025 TTM Cash from investing activities -125.36 M-384.05 M-309.33 M-350 M-362.35 M-417.47 M -417.47 M Cash from financing activities -158.96 M-167.89 M-429.37 M-418.94 M-200.12 M-340.52 M -340.52 M Free cash flow 115.97 M230.91 M257.86 M512.03 M262.35 M419.97 M 419.97 M