Financials
Value 202020212022202320242025 TTM Cash from investing activities 2.72 M12.99 M80.85 M58.73 M46.97 M159.59 M 395.6 M Cash from financing activities 172.25 M122.85 M37.21 M50.2 M35.04 M144.27 M 312.47 M Free cash flow 145.6 M128.5 M65.54 M28.93 M34.06 M-12.27 M 18.99 M