Financials
Value 202020212022202320242025 TTM Cash from investing activities -60.12 M-79.09 M-60.06 M-73.83 M-10.16 M-58.53 M -51.35 M Cash from financing activities -360.05 M-61.67 M-106.01 M-354.66 M-15.38 M-510.48 M -219.68 M Free cash flow 327.07 M355.48 M188.79 M224.46 M395.1 M152.13 M 307.32 M