Financials
Value 202020212022202320242025 TTM Cash from investing activities -157.62 M-141.47 M-186.51 M-487.65 M-162.24 M-155.05 M -178.63 M Cash from financing activities -41.1 M-34.26 M-69.44 M-25.84 M-50.36 M-101.15 M -110.73 M Free cash flow 286.68 M212.3 M122.65 M215.76 M295.27 M142.53 M 88.25 M