Financials
Value 202020212022202320242025 TTM Cash from investing activities -61.38 M-184.33 M-323.48 M-53.83 M-125.5 M-98.72 M -98.72 M Cash from financing activities -66.89 M-137.44 M-152.18 M-116.33 M-190.73 M-238.43 M -238.43 M Free cash flow 251.43 M501.66 M343.89 M283.96 M364.36 M324.29 M 324.29 M