Financials
Value 202020212022202320242025 TTM Cash from investing activities 56.58 M271 M200.42 M163.37 M195.41 M270.73 M 270.73 M Cash from financing activities 88.58 M81.99 M92.48 M18.01 M13.32 M43.56 M 43.56 M Free cash flow 129.9 M103.2 M41.65 M60.27 M99.6 M105.12 M 105.12 M