Financials
Value 20202021202220232024 TTM Cash from investing activities -78.9 M-89.1 M-82.3 M-95.9 M-152.9 M -214.3 M Cash from financing activities -76.1 M-52.8 M-40.1 M-23.3 M-167.1 M -264.2 M Free cash flow 149.5 M-85.3 M-67.6 M178.3 M286.1 M 407.5 M