Financials
Value 202020212022202320242025 TTM Cash from investing activities -77.79 M-278.44 M-158.67 M-103.4 M-159.1 M-112 M -131.2 M Cash from financing activities -49.36 M242.09 M-223.09 M-79.9 M-239.8 M-265.1 M -74.8 M Free cash flow 180.79 M138.31 M277.9 M340.2 M340 M371.4 M 381.6 M