Financials
Value 202020212022202320242025 TTM Cash from investing activities 1.02 M68.77 M-76.34 M-34.8 M-7.36 M-93.84 M -93.84 M Cash from financing activities -174.48 M-35.18 M-235.23 M-219.72 M-131.29 M-105.9 M -105.9 M Free cash flow 170.6 M118.7 M224.06 M388.45 M173.01 M210.14 M 210.14 M