Financials
Value 202020212022202320242025 TTM Cash from investing activities -125.62 M29.07 M-242 M135.08 M-606.93 M-24.91 M 37.47 M Cash from financing activities -92.26 M-376.72 M-102.66 M-104.51 M-160.48 M-394.62 M -222.18 M Free cash flow 201.19 M279.87 M686.3 M618.74 M565.71 M686.64 M 652.18 M