Financials
Value 202020212022202320242025 TTM Cash from investing activities -123.78 M-76.02 M-102.42 M-99.78 M-108.91 M-58.28 M -127.46 M Cash from financing activities 139.76 M-419.97 M-373.68 M-100.82 M-153.73 M-178.42 M -168.18 M Free cash flow 316.03 M307.96 M57.25 M158.57 M145.36 M172.69 M 356.83 M