Financials
Value 202020212022202320242025 TTM Cash from investing activities -75.64 M417.6 M284.1 M299.26 M-171.23 M78.68 M — Cash from financing activities -58.36 M-305.44 M-433.54 M-168.14 M-17.45 M-148.92 M — Free cash flow -96.09 M-66.43 M-82.93 M144.26 M-42.58 M-119.24 M 33.01 M