Financials
Value 202020212022202320242025 TTM Cash from investing activities -56.09 M-1.07 B-80.33 M-43.3 M-69.84 M-131.7 M -88.6 M Cash from financing activities -110.56 M912.96 M-48.6 M-37.68 M-267.25 M-136.8 M -200.7 M Free cash flow 217.55 M210.82 M191.53 M198.37 M194.28 M175.3 M 209.1 M