Financials
Value 202020212022202320242025 TTM Cash from investing activities -22.24 M-256.51 M-11.58 M-20.11 M-17.45 M-136.84 M -1.2 B Cash from financing activities -279.42 M-7.57 M-185.85 M-241.01 M-182.07 M-156.06 M 898.67 M Free cash flow 235.61 M259.92 M229.72 M248.93 M251.51 M246.45 M 235.36 M