Financials
Value 202020212022202320242025 TTM Cash from investing activities -79.43 M-88.73 M-67.08 M-134.5 M-37.96 M170.66 M -25.17 M Cash from financing activities -245.17 M-104.7 M-99.5 M10.73 M-133.18 M-202.4 M -56.51 M Free cash flow 379.14 M141.58 M108.06 M118.64 M111.74 M80.29 M 75.98 M