Financials
Value 202020212022202320242025 TTM Cash from investing activities -433.15 M-194.02 M-98.4 M-106.64 M-94.02 M28.11 M 28.11 M Cash from financing activities -47.09 M-131.64 M-168.57 M-107.22 M-125.33 M-298.3 M -298.3 M Free cash flow 256.56 M223.24 M172.96 M207.64 M202.59 M209.35 M 209.35 M