Financials
Value 202020212022202320242025 TTM Cash from investing activities -78.7 M-278.6 M-101.6 M-91.7 M-94.5 M-122.8 M -130.4 M Cash from financing activities -43 M5.6 M-34.1 M-71.7 M-110.4 M-89.3 M -96.5 M Free cash flow 240.6 M232.4 M105.7 M233.6 M236.4 M86.6 M 118.3 M