Financials
Value 202020212022202320242025 TTM Cash from investing activities -24.82 M10.82 M-32.36 M-30.61 M64.25 M2.01 M 4.69 M Cash from financing activities -295.14 M-249.47 M-168.51 M-243.09 M-286.4 M-237.88 M -197.56 M Free cash flow 373.24 M170.38 M323.95 M311.83 M346.55 M297.35 M 311.89 M