Financials
Value 202020212022202320242025 TTM Cash from investing activities -83.83 M-117.39 M-278.05 M-126.94 M-117.76 M-103.79 M -108.76 M Cash from financing activities 229 M-230.03 M-121.34 M-91.63 M-183.81 M-233.43 M -253.34 M Free cash flow 209.57 M227.25 M188.47 M256.14 M337.46 M350.73 M 372.27 M