Financials
Value 2022202320242025 TTM Cash from investing activities 30.3 M-62.37 M-23.69 M-29.79 M -29.79 M Cash from financing activities -144.22 M-99.69 M-81.62 M-71.03 M -71.03 M Free cash flow 135.69 M111.27 M115.3 M351.44 M 351.44 M