Financials
Value 202020212022202320242025 TTM Cash from investing activities -53 M-351.7 M-131.43 M-391.87 M-150.75 M-127.11 M -127.11 M Cash from financing activities -128.45 M156.2 M-63.53 M296.44 M-223.69 M-129.08 M -129.08 M Free cash flow 80.45 M76.42 M-10.87 M-178.32 M142.92 M68.73 M 68.73 M