Financials
Value 202020212022202320242025 TTM Cash from investing activities -72.77 M-415.47 M-4.48 M-39.95 M-53.76 M-257.63 M -257.42 M Cash from financing activities -126.53 M203.93 M-113.35 M-52.25 M-208.69 M-105.47 M -107.08 M Free cash flow 206.56 M199.15 M157.46 M92.86 M296.43 M363.87 M 377.72 M