Financials
Value 202020212022202320242025 TTM Cash from investing activities -71.39 M-49.13 M-40.19 M-27.62 M-76.42 M-214.12 M -210.24 M Cash from financing activities -75.25 M-13.46 M24.67 M-238.61 M-122.66 M61.83 M 47.46 M Free cash flow 178.39 M48.93 M41.79 M279.02 M204.58 M136.45 M 143.29 M