Financials
Value 202020212022202320242025 TTM Cash from investing activities -27.51 M-97.96 M-442.8 M-302.15 M-154.34 M-85.55 M -45.66 M Cash from financing activities -61.18 M-184.46 M-524.21 M-506.78 M-435.28 M-160.45 M -59.78 M Free cash flow 248.76 M572.9 M786.84 M807.63 M549.03 M295.65 M 144.89 M