Financials
Value 202020212022202320242025 TTM Cash from investing activities -164.5 M-196.09 M-189.78 M-99.14 M-50.38 M-26.22 M -28.58 M Cash from financing activities 48.61 M48.57 M112.46 M40.76 M-52.07 M-124.28 M -133.04 M Free cash flow -124.91 M-89.02 M-308.47 M103.85 M107.99 M190.7 M 203.92 M