Financials
Value 202020212022202320242025 TTM Cash from investing activities -122.6 M-115 M-122.1 M-141 M-169.9 M-345.5 M -319.9 M Cash from financing activities 47.7 M7.7 M26.9 M31.5 M43.8 M223.5 M 177.8 M Free cash flow 75.7 M107.8 M97.7 M107 M125.9 M-53.8 M -45.5 M