Financials
Value 202020212022202320242025 TTM Cash from investing activities -16.38 M-239.37 M120.6 M-82.79 M-23.21 M-42.7 M -43.98 M Cash from financing activities 218.68 M-172.86 M-396.5 M-272.9 M-62.36 M-569.52 M -658.89 M Free cash flow 196.83 M234.82 M297.98 M318.73 M332.26 M315.2 M 349.91 M