Financials
Value 202020212022202320242025 TTM Cash from investing activities 0140.52 M96.89 M38.95 M248.49 M311.15 M 311.15 M Cash from financing activities 304.42 M107.59 M10.46 M91.87 M514.32 M702.17 M 702.17 M Free cash flow 52.62 M123.5 M184.6 M111.09 M131.76 M249.01 M 249.07 M