Financials
Value 202020212022202320242025 TTM Cash from investing activities 285.29 M191.17 M410.45 M14.68 M252.26 M269.92 M 269.92 M Cash from financing activities 584.01 M194.87 M140 M195.98 M189.48 M105.08 M 105.08 M Free cash flow 84.25 M98.95 M113.68 M134.62 M129.19 M128.45 M 128.45 M