Financials
Value 202020212022202320242025 TTM Cash from investing activities 114.53 M82.17 M53.53 M38.83 M79.17 M6.64 M 6.64 M Cash from financing activities 362.55 M30.28 M227.22 M141.87 M119.12 M128.49 M 128.49 M Free cash flow 391.62 M236.41 M232.81 M194.62 M130.21 M324.92 M 324.92 M