Financials
Value 202020212022202320242025 TTM Cash from investing activities -58.86 M-49.42 M-585.85 M-45.21 M-65 M-34.29 M -38.48 M Cash from financing activities 68.19 M-28.25 M393.35 M-400.16 M-298.75 M-338.75 M -352.52 M Free cash flow 85.01 M74.82 M26.95 M365.17 M308.87 M303.58 M 287.2 M