Financials
Value 202020212022202320242025 TTM Cash from investing activities -472.85 M-144.83 M-139.96 M184.15 M-140.24 M437.28 M 437.28 M Cash from financing activities 440.21 M25.7 M15.49 M15.79 M90.31 M-451.34 M -451.34 M Free cash flow 84.18 M58.59 M9.43 M-100.43 M-69.22 M-75.68 M -75.68 M