Financials
Value 202020212022202320242025 TTM Cash from investing activities -425.44 M-86.34 M-143.79 M-322.39 M-161.9 M-179.55 M -179.55 M Cash from financing activities 367.45 M-15.75 M-100.36 M38.16 M108.82 M-178.46 M -178.46 M Free cash flow 108.81 M172.26 M273.06 M181.75 M181.72 M293.22 M 293.22 M