Financials
Value 202020212022202320242025 TTM Cash from investing activities -128.7 M-77.3 M-126.7 M-193.2 M-159.6 M-234.5 M -237.5 M Cash from financing activities 116.9 M103 M-201.9 M267.2 M-260.4 M-699.9 M -681.2 M Free cash flow 30.4 M-136.5 M94 M-114.8 M168.1 M333.7 M 552.5 M