Financials
Value 202020212022202320242025 TTM Cash from investing activities -98.81 M-355.06 M-447.29 M-278.72 M-315.37 M-471.18 M -450.92 M Cash from financing activities -58.32 M243.36 M205.57 M26.43 M53.41 M124.47 M 119.06 M Free cash flow 172.58 M189.01 M224.33 M249.17 M268.93 M291.99 M 310.95 M