Financials
Value 202020212022202320242025 TTM Cash from investing activities -144.92 M-105.32 M-210.33 M-226.58 M-352.5 M-272.46 M -197.9 M Cash from financing activities 70.45 M-124.81 M-113.32 M-69.6 M156.87 M-59.84 M -165.71 M Free cash flow 81.07 M244.83 M427.71 M227.99 M239.32 M313.25 M 412.75 M