Financials
Value 202020212022202320242025 TTM Cash from investing activities -165.44 M-110.76 M-118.24 M-139.87 M-88 M-179.83 M -179.83 M Cash from financing activities 204.58 M-93.31 M-63.5 M-49.12 M-62.94 M-281.98 M -281.98 M Free cash flow 134.15 M206.88 M203.15 M278.8 M432.82 M371.64 M 371.64 M