Financials
Value 202020212022202320242025 TTM Cash from investing activities 78.72 M105.59 M625.46 M375.55 M237.82 M263.26 M 263.26 M Cash from financing activities 95.66 M217.87 M166.33 M360.68 M436.81 M226.93 M 226.93 M Free cash flow 215.09 M560.47 M927.1 M472.02 M208.75 M12.72 M 12.72 M