Financials
Value 202020212022202320242025 TTM Cash from investing activities -139.12 M-146.62 M-88.51 M-62.38 M-96.25 M-54.52 M -53.19 M Cash from financing activities 12.32 M-6.64 M2.8 M-84.84 M-239.31 M-204.08 M -153.01 M Free cash flow 253.41 M56.3 M199.94 M265.15 M248.89 M270.16 M 259.31 M