Financials
Value 202020212022202320242025 TTM Cash from investing activities -21.43 M-11.54 M-35.51 M-2.78 M-338 K-25.29 M — Cash from financing activities -139.26 M-145.15 M-79.97 M-112.51 M-133.32 M-108.63 M — Free cash flow 169.24 M166.41 M100.94 M131.64 M137.15 M155.74 M —