Financials
Value 202020212022202320242025 TTM Cash from investing activities 133.99 M1.86 M-351.58 M-201.05 M-176.35 M-121.68 M -214.94 M Cash from financing activities 297.17 M-1.05 B-269.39 M-275.69 M-261.62 M-236.73 M -172.71 M Free cash flow 26.56 M250.37 M267.18 M386.39 M347.43 M269.2 M 261.43 M