Financials
Value 202020212022202320242025 TTM Cash from investing activities 404.29 M84.14 M395.46 M92.03 M146.21 M273.94 M 273.94 M Cash from financing activities 642.31 M7.23 M11.31 M47.67 M36.82 M20.92 M 20.92 M Free cash flow 183.89 M94.68 M169.99 M27.04 M51.16 M-683 K -683 K