Financials
Value 202020212022202320242025 TTM Cash from investing activities -24.48 M-78.93 M-442.43 M-265.63 M-84.57 M-218.26 M -171.49 M Cash from financing activities 115.4 M-27.72 M-394.15 M-45.94 M-221.71 M-50.1 M -54.03 M Free cash flow 110.06 M383.7 M367.06 M296.55 M319.4 M270.45 M 226.81 M