Financials
Value 202020212022202320242025 TTM Cash from investing activities 143.22 M36.85 M434.54 M4.27 M260.11 M87.27 M 87.27 M Cash from financing activities 16.7 M64.3 M41.07 M67.12 M75.17 M146.2 M 146.2 M Free cash flow 70.87 M93.19 M-10.13 M222.37 M327.76 M440.82 M 440.82 M