Financials
Value 202020212022202320242025 TTM Cash from investing activities -139.03 M-376.83 M-308.09 M-258.67 M-116.94 M-89.05 M -85.55 M Cash from financing activities -64.93 M117.33 M166.21 M33.28 M-64.52 M-35.44 M -44.6 M Free cash flow 235.22 M72.14 M160.76 M174.88 M162.05 M147.88 M 157.87 M