Financials
Value 2022202320242025 TTM Cash from investing activities -61.29 M-57 M-72.49 M-59.52 M -59.88 M Cash from financing activities -184.35 M-45.35 M-56.22 M576.17 M 581.31 M Free cash flow 163.12 M132.72 M118.32 M65.19 M 89.84 M