Financials
Value 202020212022202320242025 TTM Cash from investing activities -30.94 M-114.11 M66.46 M14.44 M-158.3 M104.97 M — Cash from financing activities 527.28 M93.2 M6.14 M1.07 M-4.51 M57.73 M — Free cash flow 65.22 M-157.4 M-166.54 M-185.4 M-80.22 M20.59 M 45.62 M