Financials
Value 202020212022202320242025 TTM Cash from investing activities -273.87 M-344.34 M-225.83 M149.23 M-8.92 M-94.66 M -94.66 M Cash from financing activities 259.36 M328.67 M186.08 M-164.71 M-9.19 M68.32 M 68.32 M Free cash flow 20.08 M18.96 M22.23 M16.06 M18.09 M23.81 M 23.81 M