Financials
Value 20202021202220232024 TTM Cash from investing activities -122.98 M-94.94 M-89.23 M-109.43 M-61.83 M -53.4 M Cash from financing activities -574.25 M-150.74 M-143.11 M-141.75 M-133.92 M -86.04 M Free cash flow 235.68 M181.44 M257.94 M169.55 M119.35 M 148.28 M