Financials
Value 202020212022202320242025 TTM Cash from investing activities -43.3 M-160.11 M-109.47 M-136.06 M162.21 M186.03 M — Cash from financing activities -12.44 M-15.02 M-41.09 M5.5 M-282.77 M-126.06 M — Free cash flow 78.76 M173.95 M180 M176.12 M132 M84.28 M -94.81 M