Financials
Value 202020212022202320242025 TTM Cash from investing activities -61.56 M-57.76 M-59.4 M-60.64 M-143.91 M-59.34 M -59.34 M Cash from financing activities -271.21 M-380.62 M-209.25 M-79.83 M-359.19 M-432.77 M -432.77 M Free cash flow 427.5 M249.74 M248.02 M269.06 M270.32 M324.44 M 324.44 M