Financials
Value 202020212022202320242025 TTM Cash from investing activities -50.6 M-27.9 M-54.6 M-50.7 M-87 M-76 M -74 M Cash from financing activities -178.5 M-96.8 M-130 M-92.6 M-301.7 M-212.3 M -240.8 M Free cash flow 264.3 M151.7 M173.1 M257.1 M289.9 M230.5 M 278 M